- Manage month-end closing cycle (Cash flow, Reservation Sales, Contracted Sales, Lot Inventory, MIS, etc.)
- Provided analysis for the expense portion of monthly Income Statement
- Prepared Quarterly Reports (Trial Balance, Lots Inventory, Customer Receivable, and
other subsidiary ledgers)
- Interfaced with key managers on annual budget analysis
- Audited and approved all invoices to ensure accuracy.
- Ensured compliance with accounting deadlines.
- Liaised with bankers regarding financial transactions.
- Assisted External and internal auditors
- Signed and audit buyers documents (Contract to sell , Deed of Absolute Sale, Authority to Move-in, House Turn –Over Memo
- Supervised and Assist Subordinates