Organized and dependable candidate successful at managing multiple priorities with a positive attitude. Willingness to take on added responsibilities to meet team goals. Dynamic individual with hands-on experience in Sage/Intacct Accounting software, and a talent for navigating challenges, who brings strong problem-solving skills and analysis to bring a proactive approach. Committed to making meaningful contributions and advancing organizational goals.
Overview
24
24
years of professional experience
Work History
Accountant
Clear Path for Veterans
01.2025 - Current
Revenue accounting and analysis.
Expense / Grant coding in Sage Intacct / BILL and BILL spend and Expense.
Weekly Grant Report Analysis between Budget and Actual with Forecasting.
Handled day-to-day accounting processes to drive financial accuracy.
Completed daily cash functions like account tracking, payroll and wage allocations, budgeting, and cash, and banking reconciliations.
Senior Accountant
Strategic Accounting Outsource Solutions
03.2014 - 07.2024
Handled 4 - 7 Clients
Led month-end closing processes (through the creation of Trial Balance Workpapers), ensuring timely and accurate financial reporting.
Streamlined budgeting procedures, enhancing forecasting and budget uploads into Sage Intacct
Mentored and trained new employee's both for SAOS and clients hiring new employee's.
Prepared monthly journal entries and reconciliations.
Reconciled accounts and created documents for monthly closure procedures. (to include creating templates for streamlining and efficency.)
Assisted in internal and external audits by preparing necessary documentation and responding to auditor inquiries.
Completed year-end closing processes with controllers and external auditors.
Analyzed financial statement discrepancies, identifying issues, and recommending corrective actions to prevent future occurrences.
Managed quarterly and annual tax filings for the company, ensuring timely submissions and compliance with regulations.
Controller
Atlanta Iceplex
12.2001 - 12.2011
Streamlined financial workflows, reducing processing times and improving service delivery.
Prepared balance sheets, cash flow reports and income statements.
Managed payroll data entry and processing.
Provided cash management by overseeing reconciliation of banking activity, credit card processing, and sales tax returns.
Developed and implemented internal controls to enhance operational efficiency and accuracy.