Camille Fullerton - Chow FCCA CA

Camille Fullerton - Chow FCCA CA

Accounts Clerk

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location of Camille Fullerton - Chow FCCA CATrinidad and Tobago

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  • Timeline

  • About me

    Accountant

  • Education

    • Association of Chartered Certified Accountants

      2000 - 2006
      ACCA Accounting and Finance
    • Association of Accounting Technicians

      1997 - 1999
      AAT Accounting and Finance
  • Experience

    • Diamond Motors Limited

      Sept 1997 - Oct 2002
      Accounts Clerk

      • Perform day to day financial transactions including verifying, classifying, computing, posting and recording accounts receivable data• Reconcile the accounts receivable ledger to ensure that all payments are accounted for and properly posted.• Verify discrepancies by and resolve clients’ billing issues• Facilitate swift payment of invoices due to the organisation by sending bill reminders and contacting clients with outstanding accounts

    • Regency Recruitment and Resources Limited

      Nov 2002 - Aug 2003
      Accounting Assistant

      • Perform the day to day processing of accounts payable transactions to ensure that finances are maintained in an effective, up to date and accurate manner• Perform day to day financial transactions including verifying, classifying, computing, posting and recording accounts receivable data• Prepare bills, invoices, bank deposits and handles all aspects of balancing bank accounts on a monthly basis

    • Aegis Business Solutions Limited

      Sept 2003 - Feb 2006
      Accounting Assistant

      • Perform the day to day processing of accounts payable transactions to ensure that finances are maintained in an effective, up to date and accurate manner• Keep track and process accounts and incoming payments in compliance with financial policies and procedures• Perform day to day financial transactions including verifying, classifying, computing, posting and recording accounts receivable data• Prepare bills, invoices, bank deposits and handles all aspects of balancing bank accounts on a monthly basis• Reconcile the accounts receivable ledger to ensure that all payments are accounted for and properly posted.• Verify discrepancies by and resolve clients’ billing issues• Facilitate swift payment of invoices due to the organisation by sending bill reminders and contacting clients with outstanding accounts• Generate financial statements and reports detailing accounts receivable status Show less

    • Leon Ambrose & Company

      Mar 2006 - Dec 2015

      •Prepare financial statements in accordance with the International Financial Reporting Framework for clients in the service, retail and manufacturing industries.•Maintain and produce monthly management accounts including Vat returns, quarterly taxes and other statutory payments for clients in both service and retail industries.•Review financial statements and tax computations of co-workers before going to the Managing Director for final review and sign off.•Prepare, compute and advise on taxation for sole traders, partnerships, and corporate companies.•Incorporate companies and conduct corporate secretarial work such as annual, changes in secretary, directors and shareholdings.•Conducting audits from planning to completion phase including assessments of risks, tailoring work programmes, prepare engagement and representation letters. •Prepare working papers and finalize audits in accordance with International Standards of Auditing.•Managing staff on simultaneous engagements. Show less

      • Accounting & Audit Senior

        Oct 2014 - Dec 2015
      • Office Admin. Manager & Accounting Supervisor

        Mar 2006 - Dec 2015
    • Arima Race Club

      Jan 2016 - Dec 2019

      • Preparation of Annual Financial Accounts as well as schedules and supporting reports to achieve external audit examination and report• Review and implementation of systems to create greater security of the club’s finances• Timely preparation of the monthly management accounts • Preparation of financial and other management reports for use by management in making sound business decisions• Supervision of the Accounting Unit to ensure its smooth and efficient operation • Any other related duties Show less

      • Accountant

        Jan 2016 - Dec 2019
      • Accountant

        Jan 2016 - Dec 2019
    • Inovics Consulting Limited

      Jan 2020 - Sept 2020
      Financial Services Consultant

      • Provide financial management information by preparing financial statements and other reports.• Participate in budget preparation activities.• Provide financial guidance to clients in order to help them accomplish their financial short term and long term goals.• Guide and motivate finance team to enhance productivity and revenue.• Understand clients’ needs through regular interaction and recommend financial solutions accordingly.• Build healthy and long term relationships with clients and all business partners.• Attend educational workshops for career g Show less

    • National Quarries Company Limited

      Oct 2020 - Sept 2022
      Accountant

      • Prepare monthly financial statements and information packages for the Board of Directors.• Undertake the administration of the external audits and prepare relevant audit schedules and documents as requested by the company’s External Auditors.• Update the general ledger accounting system with the company’s monthly operating revenues and expenditure.• Ensure compliance with statutory requirements such as NIS, Health Surcharge, PAYE, VAT, Business Levy, Green Fund and Royalties.• Ensure proper reconciliation and timely filing of all statutory requirements.• Assist the Chief Financial Officer in preparing and finalizing year-end financial statements and accounts.• Supervise a team of accounting staff. Show less

    • Caribbean Telecommunications Union

      Mar 2023 - now
      Finance and Management Accountant

      Generally accountable for the provision of financial and management accounting services in support of the department and Secretariat.Prepare monthly financial reports, budgets and analytics on financial targets achieved against budget.Prepare monthly cash forecast and reviews cash flow for prior and current periods.Ensures compliance with statutory requirements such as NIS, Health Surcharge, and PAYE.Ensures proper reconciliation and timely filing of all statutory requirements.Monitors the Department's payment functions.Leads the preparation of the annual budget. Show less

  • Licenses & Certifications

    • ACCA