Tracey Mwangi

Tracey Mwangi

Aspiring Finance and Audit Professional

1 yrs experience · <10 hrs/week

About

A recent graduate of KCA University with a Bachelor of Commerce in Accounting and Finance, I have gained practical experience through internships at AMREF and Ardagh Group. As an Audit Intern at AMREF, I assist in the preparation and examination of financial records, ensuring accuracy and compliance with regulations. My role involves supporting the audit team in various tasks. Previously, I served as a Finance Attachee at Ardagh Group, where I performed financial analysis and reporting in a complex global manufacturing environment. My responsibilities included handling SAP for financial tracking, bookkeeping, three-way matching, invoice management, inventory reconciliation, and bank negotiations related to foreign currencies. I also streamlined accounts payable processes. My diverse skill set and hands-on experience make me well-equipped for a career in finance and accounting.

Skills

BookkeepingFinancialsMicrosoft ExcelMicrosoft WordSAP

Experience

  • Audit Intern · AMREF03-01-2024

    As an Audit Intern, likely contributions include assisting in the preparation and examination of financial records, ensuring accuracy and compliance with regulations, and supporting the audit team in various tasks.

  • Finance Attachee · Ardagh Group04-01-2023 – 08-01-2023

    Over the course of my internship at Ardagh, I worked for 4 months in their Finance team where I learned how to perform financial analysis and reporting from a global manufacturing environment with huge scale complexity. The position I held was a jack of many trades and they included: SAP: Handling all financial tracking and reporting with the help of SAP. Bookkeeping: Preservation of financial records and data that are in perfect balance with each other. Three-way matching: Paying extra close attention to the details of invoices vs. purchase orders and receipts. Invoices: Handling and overseeing invoices to ensure they are paid on time and accurate. Inventory Reconciliation: Checking financial records against stock count at regular intervals. Reconciliations: Balancing and fixing errors to ensure everything is as it should be in terms of money. Bank Negotiation: Managing bank negotiations related to foreign currencies to ensure profitable cost of financial transactions. AP: Streamlining accounts payable.

Education

  • KCA UniversityBachelor of Commerce - BCom, Accounting and Finance

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