Detail-oriented Finance professional with a Bachelor’s degree in Finance and hands-on experience in financial reporting, billing analysis, and variance analysis. Proven ability to analyze financial data, improve reporting accuracy, and support business decision-making through data-driven insights. Experienced in cross-functional collaboration, revenue tracking, forecasting support, and process improvement initiatives. Strong proficiency in Microsoft Excel and financial reporting tools, with a solid foundation in corporate finance, FP&A;, and accounting principles.
Overview
2
2
years of professional experience
Work History
Billing & Accounting Analyst
CTDI - Communications Test Design
West Chester, Pennsylvania
08.2023 - 11.2025
Prepared and analyzed monthly financial reports and variance analysis to evaluate operational performance and identify trends.
Collaborated with cross-functional teams to ensure accurate financial documentation.
Assisted in the reconciliation of accounts to maintain accuracy and integrity.
Conducted audits on financial statements to identify discrepancies and improve accuracy.
Provided training on accounting practices to new team members for knowledge sharing.
Recorded customer payments into general ledger and posted cash, checks, and credit, and debit card transactions.
Prepared monthly consolidated financial statements, and monitored daily cash activities, including disbursement and receipt of funds.
Assisted with month-end closing activities such as journal entries and account reconciliations.
Performed detailed reconciliations of balance sheet accounts such as cash, accounts receivable, inventory, fixed assets.
Track daily cash collections and maintain financial records to support revenue forecasting and reporting.
Education
BBA - Finance
Temple University
Philadelphia, PA
05-2023
Associate of Arts - Business Administration
Montgomery County Community College
Blue Bell, PA
12-2020
Skills
Financial reporting
Variance analysis
Budgeting & Forecasting
Financial Modeling Fundamentals
Account reconciliation
Audit procedures
General ledger management
Bank Reconciliation
Microsoft Excel (Pivot Tables, VLOOKUP, Financial Functions)