Summary
Overview
Work History
Education
Skills
Availability
References
Timeline
Generic

TIFANY SANDOVAL AVELLANEDA

Cypress,Texas

Summary

Public Accountant, with experience in budget control, financial analysis, purchases, cash flows, P&L, forecast, Budget SG&A, OPEX and financial statements. Knowledge in financial systems, reconciliations, and portfolio maintenance. Reporting, forecasting and budget planning. Intermediate Excel and SIIGO, SAP & Quickbooks. Preparation of fundamental executive reports for business decision making, following up on the business decision making, following up on the evolution of the projects. Comprehensive communication skills, creative problem solving, ability to work as part of a team, results oriented, and able to generate added value through initiative and creation of effective ideas.

Overview

10
10
years of professional experience

Work History

Senior Financial Administrative Analyst

Sanofi Laboratories (Adecco Colombia)
Colombia
03.2021 - 07.2022
  • Support in the preparation of the Forecast and Budget of the Business Unit A&P and Opex
  • Sent monthly sales and expense reports to Marketing Managers and Sales Managers
  • Sending and monthly follow-up of provisions to accounting
  • Support the BP in the construction of reports that allow the analysis of sales, expenses and product margin figures for the unit
  • Handling of data uploads and ensuring financial integrity between SAP, TM1 Review credit notes and invoices.

Financial Controller

Digix Grupo Dimeo
Colombia
06.2021 - 04.2022
  • Elaboration and control of the company's Business Plan and Cost Estructure
  • Control and elaboration of Cash Flow for the different countries USA,ARG, MEXICO, COLOMBIA
  • Monthly financial reports, general invoicing, budgets, total sales
  • Elaboration and control of budget for different areas such as MKT, IT administrative
  • Elaboration of cost and expense reports, Income Statements.

Financial Administrative Coordinator

Planet Avvio SAS
Colombia
07.2017 - 07.2019
  • Elaboration of P&L reconciliations (validate and generate sales report)
  • Control elaboration of forecast vs
  • Actual reconciliations
  • Elaboration, control and administration of Budget
  • Elaboration of financial reports, balance sheets (monthly invoicing files, expenses, income, etc.), financials) Elaboration and control of local reservations, mkt, after sales, coop funds
  • Elaboration of invoicing to different clients and/or suppliers
  • Elaboration of Monetization control with the bank, purchase and sale of USD
  • Determine the budget for each coordinator for travel expenses, advances and incentives to distributors
  • Approval of legalization of expenses.

Budget and Finance Coordinator

Brightstar Colombia SAS
Colombia
10.2012 - 07.2017
  • Preparation of financial reports BUDGET, Balance Sheets and control of income and expenses for the brand
  • Keeping control of reserves and funds P&L, COOP FUNDS, OBSOLECENCY RESERVES, SG&A among others for each manufacturer, according to the income and expenses that are generated month by month, from this detailed control must be generated Balance Sheet
  • Elaboration of budget reports, FORECAST projections, and planning for decision making for the company, elaboration of financial reports
  • Responsible for the financial process related to the budget, credit notes, accounts receivable, for the preparation of reports and financial statements, payment schedules, overdue portfolio
  • Keep control of reserves for each channel distributors, retail, and CAVs, according to the income and expenses that are generated each month, from this detailed control generated Balance.

Merchandising and administrative assistant

Texas Prime Distribution LLC
Houston, TX
  • Labor merchandising in Fiesta supermarkets throughout Houston
  • Warehousing and storage in the different stores
  • Organization of merchandise in grocery and butcher areas
  • Cleaning of end caps in cash registers and organization according to the schedules established by the client
  • Order registration in the system for each store
  • Rotation of products, and distribution of the same within each store, according to what the store managers establish
  • Administrative and accounting tasks, filing, recording invoices and bills, Quickbooks reconciliations, item registration and picking list auditing within QKB according to the orders processed.

Financial Accounting Analyst

Kwik Dollar LLC Dinex
Houston, TX
  • Reconciliations Purchases VS Bank and Pagador
  • Reconciliations balances by Gateway
  • Reconciliations Outstanding
  • Record in QB Open position
  • Prepare Report of payers fees
  • Record Cost of Payers and prepare accts rec aging report
  • Payments Of Call Center Expenses.

Education

Accountant -

Politecnico Gran Colombiano
01.2017

Business English Intermediate -

Politecnico Gran Colombiano
01.2017

Skills

  • Balance sheets
  • Income statements
  • Cash flow statements
  • Annual reports
  • Responsible
  • Friendly
  • Good Service
  • Team Player

Availability

Weekdays and Weekends: Full Time Availability

References

  • Javier Gonzalez, Seller of Dileer, 20311 Brad Harbord La, 832-231-3524
  • Carolina Lievano, Insurance Advisor, 832-228-5656

Timeline

Financial Controller

Digix Grupo Dimeo
06.2021 - 04.2022

Senior Financial Administrative Analyst

Sanofi Laboratories (Adecco Colombia)
03.2021 - 07.2022

Financial Administrative Coordinator

Planet Avvio SAS
07.2017 - 07.2019

Budget and Finance Coordinator

Brightstar Colombia SAS
10.2012 - 07.2017

Merchandising and administrative assistant

Texas Prime Distribution LLC

Financial Accounting Analyst

Kwik Dollar LLC Dinex

Accountant -

Politecnico Gran Colombiano

Business English Intermediate -

Politecnico Gran Colombiano
TIFANY SANDOVAL AVELLANEDA