Resume Samples for Finance & Business Analytics
Senior Financial Analyst
Accounts Payable Specialist
Chief Financial Officer
Sr. Financial Analyst
Director of Finance
Assistant Vice President
Dwight Mackey - Accounting Specialist Resume Simple
I am a highly motivated, detail-oriented, and dedicated individual with a strong background in accounting, finance, and financial management.
bank reconciliation, a p, closing, auditor, abila mip, cash, audit, fixed assets, microsoft excel, a r, r, microsoft, reconciliation, excel, collection, mip
fixed assets, dental, negotiating, purchasing, a p, procurement, excel
Process A/R, A/P, credit cards, bank deposits, and bank reconciliations using QuickBooks Pro and Excel.
Responsible for bank reconciliations, credit cards, and general ledger entries using Great Plains and Excel. Reconciled bank statements.
Prepared bank reconciliations and credit card statements using Great Plains and Excel. Created and maintained monthly financial statement. Reconciled all bank accounts.
Bank reconciliations, credit cards, and general ledger entries using Excel. Prepare monthly, quarterly and annual financial statements.
Assist with monthly closing, bank reconciliation, audit preparation, collection of accounts, and auditor requests. Prepare and maintain all financial records.
Responsible for creating and maintaining the chart of accounts in Great Plains. Also, created and maintained the chart of accounts.
Snyder High School
Manage the A/P process for the company, including negotiating with vendors and procurement to resolve any issues.
Monitor fixed assets, including purchasing, depreciation, and amortization. Calculate and record monthly depreciation. Manage and maintain all prepaid and straight-line rent.
Created Excel spreadsheet to track and report on the financial status of the company. This includes the creation of a new project tracking system.
Processed all employee benefit plans, including dental, vision, life, and Health. Worked with the company to ensure that employees were paid correctly.
Assist with the preparation of monthly financial statements and reports. Responsible for the month end close process. Review and approve journal entries for accruals.
Manage and maintain the company's fixed asset system (FAS). Work with IT to ensure proper recording of assets.