Korir Kipkemoi Mathew
About Candidate
Location
Education
Bachelor of Commerce Accounting Option.
Currently I'm CPA Finalist Class of August 2024
Certification of formal Education
Work & Experience
• Preparation of monthly financial statements, vendor, invoices, checks, purchases, journals, charts of accounts, reporting of balance sheets and income statements.
• Processed and reconciled vendor invoices and checks.
• Posting monthly journals entries and accruals.
• Performed detailed financial analysis and reconciliation of various accounts, ensuring accuracy and compliance with GAAP.
• Performed reconciliations for various accounts including cash, payables, and credit card transactions, achieving high accuracy rate.
• Prepared payrolls and how WHT operates
• Pickup up packages from clients and ensure the goods and services are delivered to the right destination on time.
• Tracking by using real-time tracking systems to provide updates on the status and location of each shipment.
• Security of the packages. This is to ensure Integrity and the security of the package while in transit.
• Delivery of packages to their final destination and update the clients once the packages arrive to the designated place.
• Ensure goods are packed correctly and meet the necessary specifications.
• Meets customer’s satisfaction and needs. Taking into consideration value for their money.
• Managing the business revenue and budget, including pricing strategies.
• Enroll clients on the use of internet banking.
• Register clients to internet banking to ensure efficiency.
• Meet weekly company’s target.
• Processing payments for checks, invoices, and other documentation using computer software programs.
• Preparing reports on the status of loans, including outstanding balances and delinquencies on payments.
• Providing information about loan rates, repayment schedules, loan limits, and other banking products and services to potential customers.
• Processing loan applications, including collecting financial information from applicants and preparing loan agreement documents.
• Maintaining records of customer accounts, including updating account balances and making deposits and withdrawals.
• Recording daily bank transactions in a ledger or database using computer software