Responsible for the meticulous control of bank accounts, overseeing cash flow dynamics, and preparing comprehensive financial reports on a daily, monthly, and annual basis. Adept at ensuring the timely verification of cash receipts to facilitate on-schedule customer payments, thereby optimizing the efficiency of distribution operations. Integral to the financial planning process, contributing insights and forecasts for upcoming periods to support strategic decision-making. Thrives in a dynamic environment, consistently ensuring financial integrity and contributing to the seamless distribution of goods through effective financial control and planning.