
Dedicated and detail-oriented professional with an accounting foundation and bank reconciliation and account management experience. Seeking an accounting role to enhance my accounting skills and utilize my analytical and problem-solving abilities to contribute to the company’s financial success. Excellent communication skills and a proven track record of improving efficiency and accuracy in account reporting and accurate financial records.
● Maintained and reconciled general ledger accounts across multiple financial systems, ensuring accuracy of financial records for 47 retail locations
● Supported full-cycle accounting processes including daily transaction review, reconciliations, and financial data validation
● Assisted with month-end close activities by reconciling bank, credit card, and GL accounts and resolving discrepancies in a timely manner
● Managed cash control processes including wire transfers, stop payments, check voids, and positive pay verification in accordance with internal controls
● Investigated and resolved variances between general ledger and external banking records to ensure accurate financial reporting
● Collaborated with other departments to support financial reporting deadlines and improve close efficiency
● Supported process improvements by implementing automation tools to streamline daily disbursement and reconciliation workflows
● Trained new team members on accounting systems, reconciliation procedures, and internal control processes to ensure consistency across operations