Skills:
Financial Reporting, Forecasting, Financial Analysis, Cost Accounting, Cash Management, P&L, Optimization, Administration, Budgeting, Accounting, Cash Flow, General Ledger, Internal Controls, Variance Analysis, GAAP, Financial Accounting, Analysis, Strategic Planning, Accounts Receivable, Reconciliation, Fixed Assets, Accounts Payable, Financial Management, Business Planning, Consolidation, Account Reconciliation, Financial Control, Accruals, Working Capital Management, Revenue Recognition, Cash Flow Forecasting, Banking Relationships, Costing, Pricing, Bank Relationship Management, Manufacturing Finance, Financial System Implementation, Inventory Management, Profit Center Management, Payroll, Critical Cash management & accurate Daily Cash Forecasts when rapid changes in P&L or Economy, Creating/fine tuning Cost Accounting, Financial Analysis & Financial Reporting, Financial Analysis & evaluations to identify best Revenue profit/growth options, Optimizing accounting, office, administrative and computer operations, CMA Candidate (CERTIFIED MANAGEMENT ACCOUNTANT), CERTIFICATE in SYSTEMS AND PROGRAMMING (Post Graduate), ASSOCIATION MANAGEMENT CERTIFICATE from U. of MD & A.S.A.E.