Financial professional prepared for comprehensive bookkeeping responsibilities with strong track record in maintaining accurate financial records. Proven ability to manage accounts, reconcile discrepancies, and support financial reporting. Highly collaborative team player who adapts to changing needs and consistently delivers reliable results.
Work History
Assistant Bookkeeper
4 Years 1 Month
Albertsons Safeway | 09.2022 - Current
Balanced cash drawers to ensure accurate cash flow, cash auditing, supervisor responsibilities , Executed scheduled money transfers between accounts (scheduling, Time clock adjustments)
Processed accounts payable and receivable transactions using ERP systems and Microsoft Excel.
Monitored store cash activity and supported POS reconciliation to resolve variances quickly.
Supported payroll-related bookkeeping tasks by verifying entries and correcting posting issues.
Maintained and processed invoices, deposits, and money logs.
Maintained accurate records of all transactions, ensuring compliance with company policies and applicable regulations.
Processed Western Union money transfers accurately, verifying customer identity and transaction details.
Trained new cashiers on payout procedures, register operations, and compliance standards.
Expedited high-volume periods by efficiently managing multiple tasks simultaneously without sacrificing attention to detail or quality of service provided.
Demonstrated flexibility in adapting to changing business needs or priorities while maintaining a consistent level of performance under pressure.
Food clerk
5 Years 3 Months
Albertsons Safeway | 07.2021 - Current
Assisted customers with product location, pricing, and special requests to support service quality.
Maintained a clean and organized workspace, ensuring compliance with health and safety regulations.
Answered questions about store policies and addressed customer concerns.
Demonstrated advanced product knowledge, item locations, pricing and stock levels.
Processed cash, credit, and debit transactions accurately while maintaining balanced register drawers.
Monitored point-of-sale activity to reduce errors and maintain transaction accuracy.
Built relationships with customers to encourage repeat business.