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Skills

  • Business Strategy
  • Preparing budgets
  • Adobe software
  • Accounts payable / accounts receivable
  • Strong organization
  • Data entry
  • Budget analysis expert
  • Excellent managerial techniques
  • Collecting data
  • Project management

Work Experiences

  • Managed
  • Am in charge of cash management for city-owned businesses, including budgeting, forecasting, reporting, and liquidity management.
  • Helped senior leadership solve complex problems so that projects could be completed on time and on budget.
  • Carried out variance and gap analysis and reported the results.
  • Models, charts, and reports were created and maintained with precision and accuracy.
  • Assisted senior analysts and department professionals with administrative tasks.
  • Conducted extensive research into the standard market and presented findings.
  • Sought advice.
  • Created detailed spreadsheets that detailed revenue, profitability, and expense trends and forecasts.
  • Kept track of everything.

Summaries

  • Accounting professional with extensive experience in performance reporting and workflow optimization.
  • Trained to deal professionally with customer concerns while collecting payments on past-due accounts.
  • On category, a knowledgeable professional with experience performing due diligence, valuations, and statistical analyses.
  • Dependable
  • Bringing 13 years of process experience to the table.
  • Successful in reducing old accounts and managing bad debt.
  • When consistently meeting collections goals, team-oriented with the ability to mentor junior collections associates.
  • For fully compliant tracking, reporting, and auditing of financial records, be well-organized and diligent about keeping records current, statements accurate, and accounts reconciled.
  • Versatile
  • Ready to provide Cedar Works with excellent results.

Accomplishments

  • Presented quarterly performance metrics to stakeholders, highlighting key financial drivers of underperformance and recommending corrective measures.
  • Worked in tandem with external auditors to achieve 12% reduction in outstanding issues, securing a clean financial audit for 2019.
  • Identified and rectified operating inefficiencies that reduced cost by $8 annually, boosting the overall financial performance of the company.
  • Developed a robust financial risk assessment model predicting potential downturns in cash flow, which led to preemptive cost-reduction measures saving $12.
  • Tax Returns: Performed tax methods applicable to business revenues and like-kind exchanges. Prepared annual individual, corporate, trust, estate, gift and partnership tax returns.
  • Analyzed trend variances in expense accounts across 15 divisions, delivering actionable insights for cost-saving measures.
  • Handled and resolved the largest Number of reporting discrepancies in 6 months.
  • Conducted scenario analysis for potential acquisitions, leading to a data-driven recommendation which increased client investments by $4.
  • Coordinated a post-merger integration of financial systems and capital structures, seamlessly merging the financials of 7 companies within system.
  • Analyzed historical financial data trends and produced detailed forecasts for the next 13 years, contributing to leadership’s long-range strategic planning.

Affiliations

  • Risk Management Association (RMA)
  • Society of Women Engineers
  • Jaycees
  • Planning Accreditation Board (PAB)
  • American Finance Association (AFA)
  • Association for Financial Professionals (AFP)
  • Lions Club
  • Institute of Internal Auditors (IIA)
  • National Association for Business Economics (NABE)
  • Rotary International

Certifications

  • Member of category
  • Certified Management Accountant (CMA)
  • Microsoft Excel Expert Certification
  • Master of Business Administration (MBA) in Finance
  • Cost Accounting Practices Certification
  • Cisco Certified Internetwork Expert (CCIE)
  • Apple Certified Associate (ACA)
  • Certified Internal Auditor (CIA)
  • CompTIA Security+
  • CompTIA Network+

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