Debra Wilson - Accountant Resume Simple
To obtain a position that will enable me to utilize my skills and experience in the field of accounting, finance, and administration. I am a self-motivated, and organized professional.
  • r, accounts payables, cash, reports, expense reports, design, a r, manufacturing, budget, payables, accounts payable, analysis, credit card, cash flow, journal, payments, credit, invoices, a p, financial statements, general ledger, journal entries, excel
  • payroll, general ledger, bank reconciliation, finance, accounts receivable, compliance, accounts payable, reconciliation
  • 2017-12-252017-12-25


    Brown and Caldwell

    • Duties include: Accounts payable, A/R, A/P, payroll, G/L, financial statements, cash flow analysis, credit card reconciliations, journal entries, accruals, and payments.
    • Manage accounts payable, including processing invoices, expense reports, and check requests, and design and implement a new chart of accounts for the company.
    • Performs other duties as assigned by the accounts payables clerk, supply chain, and the accounting department. Assist with the preparation of the annual budget.
    • Prepare and post monthly general ledger entries for manufacturing and production. Work with the CFO to ensure accuracy of the financial statements.
    • Prepare and analyze financial information using Excel and other financial models. Perform special projects as assigned. Prepare and maintain schedules for the monthly close.
    • Reconcile bank statements, prepare and process journal entries, and perform account reconciliations. Analyze and interpret financial statements.
  • 2017-12-252017-12-25


    Google AdWords

    • Perform accounts payable, accounts receivable, payroll, bank reconciliation, and general ledger functions. Work with Finance team to ensure compliance with company policies and procedures.
    • Maintain and reconcile all bank accounts, credit card statements, and general ledger accounts. Analyze and prepare monthly financial reports.
    • Maintain and reconcile all bank accounts, credit card statements, and general ledger accounts. Prepare monthly journal entries and accruals.
    • Responsible for the preparation of monthly, quarterly and annual financial statements. Prepare and review journal entries and account reconciliations.