Highly skilled finance professional with extensive expertise in cash flow management, statutory reporting, and financial analysis. Proficient in VAT return preparation, payroll administration, and regulatory compliance, ensuring accurate and timely reporting. Adept at accounts receivable and payable maintenance, balance sheet management, and profit and loss analysis to optimise financial performance. Demonstrates advanced knowledge of debt recovery measures, cost allocation strategies, and bank reconciliations. Committed to leveraging technical proficiency in Microsoft Office Suite to drive operational efficiency and support organisational growth objectives.