CORE QUALIFICATION
Coordinating Accounting functions and
programs.
Preparing revenue projections and
forecasting expenditure.
Assisting with preparing and monitoring
budgets.
Manage all Accounting Transactions.
Prepare Budget Forecasts.
Publish Financial Statement on time.
Handel monthly, quarterly, and annual
closing.
Reconcile accounts payable and
receivable.
Ensure Timely Bank Payment.
Compute Tax and Prepare Tax Return.
Reconcile Bank Movement and Manage
Financial Statement.
Analyze complex financial reports and
records.
Review journal entries of junior
accountants to ensure accuracy.
Train and Monitor junior staff.
Perform variance analyses and prepare
account reconciliations.
Prepare Financial Reports.
Closing year End and Monthly.
CONTACT
PHONE:
EMAIL:
***********@*****.***
RAHEL MENGESHA BIRHANE
SENIOR ACCOUNTANT LEVEL 2
ADMAS UNIVERSTY - September 2017 – August 2020
BA DEGREE in Accounting and Finance.
NIGISTE SABA PREPARATORY SCHOOL - September 2013 – August 2014 Grade 12 leaving certificate.
NIGISTE SABA SECONARY SCHOOL - September 2011- August 2012 Grade 10 leaving certificate.
WORK EXPERIENCE
Yasbin Trading plc. Senior Accountant Level 2
Apr 10/2024 up to now(currently work in yasbin Trading) Beacon Financial Solution and Investment PLC Senior Accountant May 10/2021– Feb 19/2024
Under beacon financial solution Work for 6 Month in humanitarian Energy(NGO) Nayu International Trading PLC Senior Accountant
January 10/2020 –April 11/2021
Embossa PLC Accountant
September 26/2016 –January 09/2020
Achievement
- Exceeded your monthly targets
- Used financial forecasting to reduce risk
- Built &maintained strong client relationship
- Achieved financial gain
Duty and responsibility
- Coordinating accounting functions and programs.
- Preparing revenue projections and forecasting expenditure.
- Assisting with preparing and monitoring budgets.
- Manage all Accounting Transactions
- Prepare Budget Forecasts
- Publish Financial Statement on time
- Handle monthly, quarterly and annual closings
- Reconcile account payable & receivable
- Ensure Timely Bank Payment
- Reconcile Bank Movement & Manage financial Statement
- Review journal entries of junior accountants to ensure accuracy.
- Train and mentor junior staff.
- Perform variance analyses and prepare account reconciliations.
- Prepare financial reports.
- Perform account reconciliations.
- Closing year end and monthly
SKILLS AND TRAINING
Modern Accountancy System and Peachtree Accounting Software.
International Finance Reporting System.
Microsoft Word
Microsoft Excel
Peachtree
Internet
Driving license
Good team player
Excellent time management.
Self-motivated, positive, and friendly attitude.
Language English Amharic and Tigregna