I am a Chartered Accountant with 8 years of experience across accounting, finance, treasury, and tax, primarily in the shipping and logistics industry.
I currently supervise end-to-end Accounts Payable operations, with strong exposure to cash flow management, month-end close, and internal controls. I have also built experience in accounts receivable and order-to-cash processes, including billing, customer reconciliations, aging analysis, dispute resolution, and DSO management.
Throughout my career, I have worked across multi-country operations and have taken responsibility for vendor management, reconciliations, payment forecasting, statutory compliance, audit coordination, and financial reporting. I am comfortable working with internal and external stakeholders and supporting smooth finance operations.
I have a strong track record of driving automation and process improvement initiatives, strengthening controls, and improving efficiency within finance teams. I have also supported budgeting, forecasting, balance sheet reconciliations, fixed asset management, and liquidity planning.
In addition to my technical finance background, I have experience leading and training team members. I have served as a trainer and buddy for new recruits, and I value collaboration, adaptability, and clear communication in multicultural environments.
I am now well positioned to transition into a Finance Manager role, where I can apply my accounting expertise, leadership experience, and operational mindset to support business performance and financial control.
Professional accounting studies in the UK.
Professional membership in Accra, Ghana.
Undergraduate degree in management.
Managed overall accounts payable process for countries under QSC scope, supervised month-end closing, handled treasury and liquidity management, maintained stakeholder relationships, prepared variance analysis, drove automation and process improvement, ensured statutory payments were filed and paid on time, managed internal and external audits, and supported training of new recruits.
Handled vendor management, reconciliation and payment forecasting, petty cash control, statutory payments, month-end accruals and prepayments, AR and AP reclassifications, GL revaluation, quarterly forecasts, annual budgets, balance sheet reconciliations, fixed asset register maintenance, partner slot schedules, AR invoicing, and monthly overhead variance reporting.
Performed month-end P&L reviews and variance analysis, reconciled general ledger to source systems, managed liquidity forecasts and bank reconciliations, processed customer deposits and demurrage refunds, controlled cashier operations and daily cash reports, processed vendor invoices and payments, maintained partner sharing schedules, reconciled disbursement accounts, ensured statutory payments were filed and paid, and maintained the fixed asset register.
Prepared weekly liquidity forecasts, monitored daily cash flow, managed debtors and receivables, assisted with quarterly forecasts and annual budgets, supported monthly overhead variance analysis and management reporting, and assisted with balance sheet reconciliation, account closing, filing, auditing, and winding-up procedures.
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