Summary
Overview
Work History
Education
Skills
Timeline
Generic

Denise Sepulveda

Haltom City

Summary

Well-qualified financial systems leader offering demonstrated skill and success in managing internal accounting processes, improving controls and strengthening systems for optimal performance. Proficient in all aspects of accounting, including accounts payable and receivable, budget administration and payroll. Gifted in building and leading solid teams to handle high-volume operations with consistency, accuracy and full compliance with regulatory requirements.

Overview

17
17
years of professional experience

Work History

Bookkeeper

Lake Worth High School
01.2020 - Current
  • Prepare and submit purchase requests for the campus
  • Prepare and submit travel requests for the campus
  • Collect, reconcile, and deposit funds for the campus at the bank including fundraisers and fees for campus
  • Process travel arrangements and registration for administrative staff for training and other professional travel
  • Maintain locked safe with credit cards and petty cash for campus
  • Submit all correspondence needed to accounts payable to pay and close open purchase orders/invoices
  • Prepare and submit requests to collect forms for fundraisers to the business office for approval submit final reports for each fundraiser
  • Assign receipt books to staff for collecting money
  • 3-way match all deposits and submit proper documentation to the business office
  • Maintain organized filing system of all transactions for transparency
  • Reconcile all 20 activity accounts to report to the business office monthly and year end

Accounts Payable Specialist

Universal Power Group
10.2014 - 01.2020
  • Opened and distributed all incoming mail
  • Communicated all supplier changes to management
  • Process all inventory and non-inventory payables
  • Process credit card statements and expense reports
  • Process and code all freight logistic invoices
  • Process monthly rental payments for all locations
  • Reconcile supplier statements
  • Maintain all accounts payable files
  • Process month-end accruals
  • Process weekly check run
  • Complete all credit applications for new suppliers
  • Assist in pulling information requested by Auditors
  • Other general duties as needed at the discretion of the UPG management team

Accounts Payable Specialist

Childcare Investments
06.2013 - 10.2014
  • Report to CFO/Owner and assisted with daily tasks within all 20 companies
  • Responsible for accounts payable of six daycares, the production company, and corporate office in Dallas and Florida
  • Implement process and forms for refunds due to students’ accounts
  • Configure all school’s student accounts and processed the forms to get this completed efficiently
  • Process all incoming payables
  • Process payments via check or credit cards with vendors
  • Reconcile bank account statements
  • Answer all incoming calls
  • Assist all walk-in guests
  • Monitor student accounts for all schools and reconciled cash boxes daily
  • Process W-9’s and assisted in processing W-2’s
  • Assist in retrieving and compiling information to present to the president, for TDA audit of three schools
  • Process invoices daily into Quickbooks
  • Made deposits to Bank/Cash petty cash checks as needed

Accounting Analyst

Barcel USA
09.2012 - 06.2013
  • Interact with vendors and distributors nationwide regarding efficiency of electronic invoices being processed in a timely manner
  • Analyze and reconcile high volume of AR accounts while coordinating with different departments including those in Mexico
  • Process daily, weekly, and monthly reports to advise distributors and in-house supervisors/managers of the volume of invoices being processed and paid
  • Found errors and had them corrected immediately

Revenue Accounting Assistant

XTO Energy
12.2011 - 06.2012
  • Track/document and manually process all returned 1099’s from the Post Office to create work orders and researched for correct addresses
  • Scan incoming correspondence, distribute to correct area within departments
  • Create work orders for voicemail, and emails and assigned to correct departments for the inquiry to be answered/solved for the owner
  • Answer calls from owners who inquired about their accounts researched issues and solved them while on the phone or assigned it to an analyst who is designated to assist in such issues

High School Admissions Assistant

ATI Enterprises
10.2010 - 12.2011
  • Assist Coordinator and kept her calendar/schedule
  • Process timesheets for payroll submission for 27 schools
  • Schedule admission and presenter teams’ appointments to be in high schools
  • Kept spreadsheet for all incoming and outgoing finances for the department
  • Distribute all departmental mail
  • Reconcile monthly high school reports to include enrollment numbers
  • Ran errands to deposit checks at local banks for departmental needs
  • Process checks and prepare to mail to all campus locations for team expenses
  • Process travel for team meetings and trainings
  • Event planned and hosted events for team meetings and trainings

Office Assistant

01.2009 - 10.2010
  • Screen hundreds of incoming calls daily from parents who wish to be on the list for assistance with daycare payment
  • Place those who qualify on the list, mailed letter advising they are on the list for governmental assistance
  • Prepare office and procedures for daily tasks and efficient flow of patients, insurance, and monies
  • Provide support to six providers including 3 doctors and 3 therapists
  • Verify insurance benefits and authorizations for all new patients, maintain authorizations to keep current for existing patients
  • Verify authorizations for all Employee Assistant Programs
  • Schedule and confirm appointments for new patients and existing patients
  • Notate copayments and deductibles from patients
  • Prepare day sheets for providers
  • Pull and filed charts daily for all providers
  • Fax and send copies as needed for patients, disability departments, and attorneys
  • Mail correspondence for providers as needed

Credit /Accounting Assistant

Ben E Keith
03.2007 - 12.2008
  • Provide administrative support to the Director of Credit and the Director of Treasury
  • Manage ACH Groups in PeopleSoft for all branches, maintained any updates/changes
  • Prepare and distribute all End of Month reports A/R reports to the CFO, President of Beer, President of Food, Branch Managers, Credit Managers, and Office Managers as necessary (this would include seven food branches and eleven beer branches)
  • Prepare and mail monthly, quarterly, and annual Corporate Sales Tax Returns by deadline
  • Post Journal Entries for branch charges and taxes as needed
  • Prepare aging reports for year-end audit
  • Research past tax discrepancies
  • Prepare and distributed PeopleSoft Aging reports for monthly credit call meetings
  • Prepare various forms, spreadsheets and reports as necessary
  • Complete Gaming License applications, Credit applications, and Casino applications as requested
  • Complete Texas Resale Certificates and W-9 Certificates as requested
  • Retrieve Dunn & Bradstreet Reports as requested
  • Coordinate credit meetings and workshops, prepare necessary documentation, order food, etc.

Education

High School Diploma - Business Management

Green B. Trimble Technical High School
Fort Worth, TX

Skills

  • Calm Under Pressure
  • Organization and Time Management
  • Good Telephone Etiquette
  • Problem-Solving

Timeline

Bookkeeper

Lake Worth High School
01.2020 - Current

Accounts Payable Specialist

Universal Power Group
10.2014 - 01.2020

Accounts Payable Specialist

Childcare Investments
06.2013 - 10.2014

Accounting Analyst

Barcel USA
09.2012 - 06.2013

Revenue Accounting Assistant

XTO Energy
12.2011 - 06.2012

High School Admissions Assistant

ATI Enterprises
10.2010 - 12.2011

Office Assistant

01.2009 - 10.2010

Credit /Accounting Assistant

Ben E Keith
03.2007 - 12.2008

High School Diploma - Business Management

Green B. Trimble Technical High School
Denise Sepulveda