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8 years of experience

Skills

Financial Analysis Management Reporting Revenue Accounting Budgeting Forecasting Inventory Management Fixed Assets Management Cash Flow Management Financial Modelling Profitability Analysis ERP/SAP Microsoft Excel Audit Support Internal Controls Variance Analysis

Experience

Finance Officer - Factory Operations

Nash Furnishers

2022-03 -

Prepared monthly management accounts, profitability reports and financial schedules to support executive decision‑making. Monitored key performance indicators and performed variance analysis, improving factory operational performance by 34%. Strengthened inventory controls and stock reconciliation procedures, reducing inventory discrepancies by 98%. Identified cost‑saving initiatives that generated USD 8,700 in annual savings and enhanced production efficiency by 16% through material, labour and overhead variance analysis. Executed bank, supplier, intercompany and balance‑sheet reconciliations in compliance with IFRS and internal controls, and coordinated internal and external audits by preparing audit schedules and supporting documentation.

Bank Teller

Empowerbank

2021-01 - 2022-02

Processed 150–250 customer transactions daily with a 99.9% accuracy rate, handling deposits, withdrawals, transfers and cash payments. Managed daily cash balances exceeding USD 20,000, achieving 100% daily cash reconciliation with zero unexplained variances. Delivered high‑quality customer service, promptly resolving queries and transaction issues while maintaining strict confidentiality. Prepared daily balancing reports and cash summaries to support timely branch reporting and regulatory compliance. Assisted in detecting transaction anomalies and potential fraud, ensuring 100% compliance with banking policies, AML/KYC procedures and contributing to successful audit outcomes.

Reconciliation Clerk

AFC Commercial Bank

2017-03 - 2020-12

Performed daily, weekly and monthly reconciliations for Zimswitch, EcoCash, suspense and General Ledger accounts, ensuring accurate financial reporting. Reduced outstanding reconciling items by 87% through proactive investigation and prompt resolution of transaction discrepancies. Improved month‑end close efficiency by 90% by maintaining accurate reconciliation schedules and clearing aged items. Produced reconciliation reports supporting monthly financial reporting, audits and regulatory compliance, meeting 100% of submission deadlines. Investigated and resolved over 100 transaction discrepancies each month, enhancing account accuracy and reducing operational risk while collaborating with internal departments and external stakeholders.

Education

BCom Honors Degree in Financial Intelligence, Bindura University of Science Education

Languages

English

fluent

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Last updated: 2 weeks ago