Accomplished Account Technician with a proven track record at the District Of Columbia Superior Court, enhancing financial decision-making and efficiency through expert management of accounts and meticulous financial reporting. Skilled in accounting software and client communication, I significantly improved expense tracking and internal controls, demonstrating a keen ability to streamline processes and foster professional relationships.
Overview
33
33
years of professional experience
Work History
Account Technician
District Of Columbia Superior Court
10.2008 - 12.2022
Prepared detailed financial reports for senior management, enabling informed decision making and strategy development.
Maintained integrity of general ledger by regularly reviewing account balances and ensuring accuracy of posted transactions.
Developed comprehensive expense tracking methods which allowed department heads to monitor spending more effectively.
Providing exceptional customer service when responding to vendor inquiries or resolving any payment-related concerns they may have had.
Managed accounts payable functions including invoice entry, check processing, and distributing payments.
Assisted in the development and implementation of internal controls to safeguard company assets and adherence to accounting principles.
Assisted in budget preparation, tracking expenditures against forecasts to identify areas for cost reduction or reallocation of funds.
Enhanced department efficiency with ongoing training in accounting software, policies, and procedures for team members.
Finance Clerk
District Of Columbia Superior Court
04.1990 - 10.2008
Managed accounts payable and receivable, ensuring all transactions were recorded accurately and on time.
Provided excellent customer service when addressing inquiries related to billing or account issues, resolving disputes efficiently and professionally.
Maintained organized filing system for easy access to important financial documents.
Supported budget preparation and management for special projects.
Prepared inter-departmental correspondence, technical memos and reports.
Improved financial accuracy by diligently reviewing and reconciling daily transactions.
Entered financial data into company accounting system with stringent adherence to data security protocols
Processed daily financial transactions in support of finance team objectives.