Accounting Graduate
Highly motivated and detail-oriented Accounting graduate with strong foundation in financial reporting, reconciliation, and payment processing. Proven ability to apply analytical and problem-solving skills within a team environment. Proficient in Microsoft Office Suite and Sage Pastel with demonstrated experience in maintaining financial records, processing payments, and ensuring compliance with financial policies. Committed to professional integrity and data accuracy in all accounting operations.
King George VI Centre - Bulawayo, Zimbabwe
Assisted with daily banking operations and maintained accurate cashbook records, ensuring all transactions were properly documented and reconciled. Processed vendor and supplier payments efficiently while maintaining a meticulous document filing system for all financial transactions. Prepared comprehensive financial reports and performed monthly reconciliations to ensure compliance with organizational financial policies. Managed petty cash funds with strict accountability, maintaining accurate records and proper documentation for all disbursements. Prepared payment vouchers and organized financial documents to facilitate smooth audit processes and ensure regulatory compliance. Provided technical assistance to staff on financial matters, improving departmental understanding of accounting procedures. Assisted with inventory management by tracking supplies, identifying discrepancies, and generating reports for management review. Collaborated with the finance team to streamline accounting processes and improve financial record-keeping efficiency. • Assisted with daily banking operations and maintained accurate cashbook records, ensuring all transactions were properly documented and reconciled • Processed vendor and supplier payments efficiently while maintaining a meticulous document filing system for all financial transactions • Prepared comprehensive financial reports and performed monthly reconciliations to ensure compliance with organizational financial policies • Managed petty cash funds with strict accountability, maintaining accurate records and proper documentation for all disbursements • Prepared payment vouchers and organized financial documents to facilitate smooth audit processes and ensure regulatory compliance • Provided technical assistance to staff on financial matters, improving departmental understanding of accounting procedures • Assisted with inventory management by tracking supplies, identifying discrepancies, and generating reports for management review • Collaborated with the finance team to streamline accounting processes and improve financial record-keeping efficiency
Bachelor of Commerce Honours Degree in Accounting