Cheryl Murrell - Assistant Vice President Resume Simple
A highly motivated and results-oriented finance professional with over 15 years of experience in the financial services industry. I have a proven track record of success in the areas of financial planning, analysis, and project management.
Prepared financial statements, balance sheets, cash flow statements, budget, and general ledger management. Maintained and monitored all financial transactions.
Developed and implemented new cash management procedures. Implemented and managed a new system for tracking and recording all transactions.
Developed and implemented a new process to track and report on the financial performance of the company. Created a comprehensive and accurate monthly and quarterly reporting package.
Performed financial analysis and valuations for potential acquisitions. Created Pro forma models for new business opportunities. Analyzed and interpreted financial data.
Managed the daily operations of the accounting department, including the development of a new system to ensure the accuracy of the data.
Responsible for the development of the company's first ever-changing business. The company was sold to the bank.
Prepared monthly financial statements, cash management, and analysis of general ledger accounts. Assisted with the implementation of new software.
Assisted in the development of internal control procedures and workflow, including risk analysis, accounting and financial statement preparation.
Analyzed financial information detailing assets, liabilities and capital. Prepared balance sheet, profit and loss statement, and other reports to summarize current and projected company financial position.
Assisted in the preparation of the annual budget and monthly forecasts. Worked with the accounting department to ensure that all expenses were properly recorded.
Responsible for all aspects of accounting and financial reporting. Managed accounts payable, accounts receivable, and payroll. Assisted with the preparation of annual budgets.
Analyzed and reconciled monthly bank statements and prepared journal entries. Performed month-end close. Analyzed and reconciled accounts.