Coordinated updates to financial reporting and
tracking systems for optimal accounting
management.
Reconciled and maintained balance sheet
accounts, including maintaining and
coordinating control sheet of balance sheet
reconciliation progress and next steps.
Supported and helped coordinate interim and
year-end audits for accounts and control
systems.
Illustrated business activity in current and prior
months through use of well-prepared executive
dashboards and schedules.
Coordinated successful month-end closings
with accurate and timely reviews and postings
of journal entries and reconciliations in line with
GAAP standards.
Analyzed financial records, statements, and
reports to enforce accuracy and conformance
to standards.
Determined unemployment insurance
premiums by auditing payroll and personnel
records