PROFESSIONAL EXPERIENCE FROM 2010-2018
Assistant Accountant;
Kenya Tea Packers Ltd, October 2010-June 2012;
Working as part of a team that is responsible for making sure that the flow of costs and revenues between the various projects, regions and people is accurately accounted for and managed.
Duties & Responsibilities:
- Financial Analysis of the business, financial and general operating information to identify trends and opportunities for development and produce management information to ensure that business developments remain financially viable
- Providing accounting support, while assuring compliance with financial & administrative policies and procedures, regulations and budget restrictions.
- Posting of creditors invoices after confirmation of proper supporting documentation.
- Register all financial transactions in the accounting system and maintain accounting records according to agreed standards.
- Invoicing as per agreement and contracts withcustomers
- Reconsideration, creditors’ reconciliations, staff accounts and petty cash audit.
Audit Assistant ;
Bore and Associates Certified Public Accountant of Kenya, March 2014-August 2014;
Duties & Responsibilities:
- Providing significant help and support to senior professionals to review a corporation's internal controls and procedures
- Analyzing and evaluating the accuracy of accounting systems and procedures
- Reviewing, developing and recommending changes in accounting systems and controls of a business
- Check and inspect the accuracy of accounts receivable and payable ledger
- Develop and maintain the clients and business partners'databases
- Create and manage budgets, balance sheets and other related financial statements
- Ensure compliance with local, national and federal audit policies and regulations
- Identify and evaluate procedures and policies in tax reporting processes
- Preparing audit paperwork in accordance with standards and requirements
Accountant;
Maraba Enterprises Limited. September 2014- July 2015 Duties & Responsibilities:
- Monthly preparation of financial statements
- Daily maintenance of the cash book and bank reconciliation
- Debt collection and maintenance of the debtors and creditors ledger
- Timely submission of statutory returns
- Accurate accounting of the petty cash and cash in transit and ensuring that expenditure is as per the budget.
- Responsibilities for: external and internal auditors
- Any other duties that may be assigned management
Reconciliation Accountant;
Eldoret Hospital Limited. August 2015- December 2015
Duties & Responsibilities:
- Research and reconcile missing payments.
- Ensure monies are posted correctly.
- Supporting Year End close.
- Supporting Community Managers and Client Accounting Specialist
- Working with supporting departments (A/R, A/P, Data, Tax and Investment Teams) on issue resolution.
Assistant Accountant;
KENYA BUREAU OF STANDARDS. January 2016- November 2018
Duties & Responsibilities:
- Performs daily bank reconciliations, tracking of cash by unit and maintenance of cash reports
- Performs Cash Management operationsinvolving payment receipt, processing, deposits and other duties with accuracy timeliness.
- Assist In The Controls,transcriptional.
- Complete daily functions associated with account reconciliation, remote deposit capture and online banking.
- Payment and processing of all supplier accounts vetting all documentation and payments to ensure that they meet requirements
- Management of and control of cash including bank and cash reconciliations
- Maintain an orderly filing system of relevant records and a neat, clutter-free environment
- Comply with KRA, and local legal requirements by studying existing and new legislation; enforcing adherence to requirements; advising management on needed actions
Accountant;
SIOKWEI TARITA LIMITED. January 2021- September 2022
Duties & Responsibilities:
- Carrying out bank reconciliations and filling returns.
- Handling record keeping and preparing financial statements.
- Fostered Public relations i.e. the link between the customer and theCompany.
- Ensuring well management and utilization of all the organization assets.
- Supervising administrative services within theorganization.
- Manage all accounting transactions
- Prepare budget forecasts
- Publish financial statements in time
- Handle monthly, quarterly and annual closings
- Reconcile accounts payable and receivable
- Ensure timely bank payments