Results-driven manager with strong leadership and process improvement skills. Proven ability to enhance operational efficiency while fostering team collaboration and strategic thinking.
Overview
21
21
years of professional experience
Work History
Manager-Royalty Accounting Services
BMI
Nashville, TN
03.2018 - 06.2026
Led team in daily operations and project execution.
Oversaw daily operations, maintaining efficiency and quality standards.
Developed and implemented process improvements for efficiency.
Established processes to ensure efficient workflow throughout the organization.
Trained staff on best practices and operational standards.
Monitored staff performance and addressed issues.
Led team meetings and one-on-one coaching sessions to continuously improve performance.
Completed thorough opening, closing, and shift change functions to maintain operational standards each day.
Reviewed completed work to verify consistency, quality, and conformance.
Sr. Royalty Accountant
BMI
Nashville, TN
06.2012 - 03.2018
Managed accounts receivable and payable, reconciled bank statements, and prepared financial reports.
Diminished financial discrepancies and accurately reconciled accounts using detailed data analysis results.
Prepared monthly closing entries for multiple companies' books of records.
Performed general ledger reconciliations on a timely basis.
Monitored cash flows and prepared weekly cash projections.
Investigated and resolved billing issues to maximize cash flow and minimize liabilities.
Assisted in the preparation of tax returns by gathering necessary information from clients and maintaining organized files with documents related to taxes.
Managed financial records and ensured accuracy of all accounting entries.
Provided guidance to other departments regarding accounting policies and procedures.
Accounting Analyst
BMI
Nashville, TN
07.2005 - 06.2012
Prepared monthly consolidated financial statements, and monitored daily cash activities, including disbursement and receipt of funds.
Prepared monthly reports for management review and strategic planning sessions.
Prepared monthly, quarterly and annual reports for management review.
Analyzed financial data to identify trends and discrepancies in accounts.
Reviewed and analyzed financial statements to detect discrepancies and irregularities.
Performed detailed reconciliations of balance sheet accounts such as cash, accounts receivable, inventory, fixed assets.
Assisted with month-end closing activities such as journal entries and account reconciliations.
Implemented process improvements to enhance accounting efficiency and accuracy.
Analyzed current processes to identify opportunities for improvement.
Researched and resolved issues with billing and invoices.
Recorded customer payments into general ledger and posted cash, checks, and credit, and debit card transactions.