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Skills

  • Account audit and discrepancy resolution
  • Problem resolution
  • Automation of accounting workflows
  • Audit support and readiness
  • Cash Flow analysis
  • Bookkeeping
  • Financial modeling capability
  • Bank reconciliations
  • Collaborative problem-solving with cross-functional teams
  • Budget analysis

Work Experiences

  • Completed daily accounting tasks such as tracking funds, deposit preparation, and account reconciliation.
  • Corrected discrepancies totaling $18.
  • Compiled general ledger entries with 100% accuracy on a tight deadline.
  • Achieved results within two years.
  • Coordinated with finance for timely resolution of unapproved invoices, reducing payment lag by 11 days.
  • Boosted reliability of company balance sheets.
  • Researched technical tax issues related to consulting projects ahead of time.
  • Balanced the reconciliation of Jira transactions.
  • Aligned accounts with cash flow statements.
  • Audited vendor accounts.

Summaries

  • Clear understanding of project management and performance reporting as well as project management training.
  • Achieved quarterly improvements in data integrity.
  • Achieved this for the first time in 9 years.
  • Reconciliation Account Specialist is a multi-talented Reconciliation Account Specialist who is consistently rewarded for planning and operational improvements.
  • Achieved a 36% reduction in manual reconciliation errors.
  • Overall morale and productivity are boosted by experience in policy development and staff management procedures.
  • Systematic and well-organized, with a keen eye for detail, mathematical prowess, and GAAP expertise.
  • All expenses are meticulously tracked, and accounts are reconciled on a regular basis.
  • Achieved a 32% reduction in monthly reconciliation times.
  • Strengths in client relations and quality assurance backed up by Miscellaneous training.

Accomplishments

  • Reduced account write-offs by 83% through enhanced monitoring and more frequent reconciliation of overdue payments.
  • Developed General Ledger reconciliation guidelines that reduced discrepancies by 31% and improved compliance with process.
  • Implemented enhanced financial controls that resulted in a 49% reduction in audit findings during 2019 audit cycle.
  • Collaborated with cross-functional teams to resolve account variances, decreasing average resolution time from 11 days to 13 days.
  • Led reconciliation efforts in acquisition financial integration, enabling seamless transition of $16 in assets.
  • Utilized Tableau to reconcile over 7 financial accounts, improving data accuracy and reporting efficiency by 27%.
  • Documented and resolved framework which led to method.
  • Ensured complete adherence to internal financial controls, reducing risk exposure by identifying and correcting framework.
  • Created monthly reconciliation reports for top management, improving the transparency of financial data and decision-making quality.
  • Achieved a 70% improvement in financial reporting accuracy by overhauling historical reconciliation errors in legacy data systems.

Affiliations

  • Toastmasters
  • Member of The Financial Accounting Standards Board (FASB)
  • Chartered Financial Analyst (CFA) Institute
  • National Association of Credit Management (NACM)
  • International Association of Administrative Professionals
  • Association of Information Technology Professionals
  • International Association for Accounting Education and Research (IAAER)
  • American Marketing Association
  • Society of Human Resource Management
  • Payments Risk Management Conference Attendee – 2022

Certifications

  • SAP Finance User Certification – Asana
  • ServSafe
  • CompTIA Security+
  • Certified Accounts Payable Practitioner (CAPP) – Harbor & Co.
  • Chartered Financial Analyst (CFA)
  • Certified Corporate Compliance Specialist (CCCS)
  • Certified Information Systems Auditor (CISA)
  • Certificate in Process Automation in Accounting – Meridian
  • Certificate in Financial Management Control & Reporting – Harbor & Co.
  • Certified Accounting Technician (CAT)

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