Lauren Simonson - Account Manager Resume Simple
SUMMARY
A highly motivated, results-oriented, and detail-oriented accounting professional with a verifiable record of accomplishment spanning over 15 years of experience in the areas of accounting, finance, and financial management.
SKILLS
  • payroll, closing, distribution, manager, reports, balance sheet, reconciliations, controller, finance, accounting, financial reports, accounts payable, financial analysis, analysis
  • balance sheet, reconciliations, liaison, journal, budget, litigation, tax, cash
WORK EXPERIENCES
  • 2017-12-252017-12-25

    Account Manager

    Medical Records

    • Manage the Finance department, including the preparation of monthly financial reports, month end closing, account reconciliations, and the distribution of the financial statements to the Controller.
    • Manage all aspects of accounting including accounts payable, payroll, balance sheet and income statement preparation. Supervise staff of three.
    • Perform financial analysis and present to the Manager and CFO. Review and analyze monthly financial results. Prepare and present monthly financial reports to the Board of Directors.
    • Assisted in the preparation of the annual budget and quarterly forecasts. Provided financial analysis and advice to the Board of Directors.
    • Ensure that all financial and operational information is accurately reported and reported. Monitor and report on the status of the projects.
    • Analyze and reconcile monthly bank statements and prepare journal entries. Maintain general ledger and sub-ledgers. Review and approve all accounts payable invoices.
  • 2017-12-252017-12-25

    Accountant II

    Loyola University New Orleans

    • Performed monthly balance sheet reconciliations, including cash and accrual journal entry. Created and maintained a database for all the related accounts.
    • Liaison between the accounting department and the state of Texas, Colorado, Illinois, Oregon, Arizona, and California.
    • Coordinate with external auditors, tax consultants, and other regulatory agencies, including litigation, budget and contract. Assist in the preparation of the annual operating plan.
    • Assist in the preparation of monthly financial statements and supporting schedules. Provide support to the accounting team in the month end close process.
    • Reconcile and analyze monthly balance sheet accounts and prepare journal entries. Assist in the preparation of the financial statements.
    • Performed monthly bank reconciliations for all accounts and prepared journal entries for month end close. Analyzed and reconciled intercompany accounts.

  

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