Martha Klamaria
Team Leader of Finance at Generation Y - International e-Business Hub- Claim this Profile
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Bio
Experience
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Generation Y - International e-Business Hub
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Technology, Information and Internet
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1 - 100 Employee
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Team Leader of Finance
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2018 - Present
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Pharmacy295
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Athens
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Senior Accountant
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Jan 2014 - May 2017
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Diversey
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United States
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Chemical Manufacturing
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700 & Above Employee
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Assistant Accountant
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Jul 2012 - Sep 2013
• Control and reconciliation of general ledger accounts. • Manage the corporate bank accounts and balance the cash. • Manage cheque payables. • Control and reconciliation of general ledger accounts. • Manage the corporate bank accounts and balance the cash. • Manage cheque payables.
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Assistant Accountant
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May 2006 - Dec 2011
• Control and reconciliation of general ledger accounts. • Manage the corporate bank accounts and balance the cash. • Manage cheque payables and cheque receivables. • Manage payroll. • Preparation of Payroll Tax returns and Value Added Tax returns. • Conduct monthly financial close process. • Generate quarter financial statements and prepare management reports concerning projects costs. • Participation in preparation of the Balance Sheet. • Control and reconciliation of general ledger accounts. • Manage the corporate bank accounts and balance the cash. • Manage cheque payables and cheque receivables. • Manage payroll. • Preparation of Payroll Tax returns and Value Added Tax returns. • Conduct monthly financial close process. • Generate quarter financial statements and prepare management reports concerning projects costs. • Participation in preparation of the Balance Sheet.
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Internship - Section of Static Calculus
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Oct 2005 - Apr 2006
• Updating the database of the Accounting – Computer system (SAP) with the currency rates. • Control and reconciliation of general ledger accounts. • Record accounting journal entries in euro and foreign currency. • Participation in the registration process of data, for annual report on the financial statements of the Bank. • Provide information to departments of the Bank and external auditors about account balances. • Export of various accounting statements (balance sheets, etc.) and supporting documents of accounting records.
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Assistant Accountant
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Jul 2004 - Jan 2005
• Performed suppliers’ and customers’ reconciliations. • Manage the corporate bank accounts and balance the cash. • Performed suppliers’ and customers’ reconciliations. • Manage the corporate bank accounts and balance the cash.
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Education
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University of Leicester
MBA -
Technologiko Ekpaideutiko Idrima, Kavalas
BSc, Accounting