Russell Owens - Senior Accountant Resume Simple
SUMMARY
Seeking a position in a progressive organization where I can utilize my skills and experience in the field of accounting, finance, and administration.
SKILLS
  • decision making, cash management, management, accruals, forecasts, budget, reconciliations, cash
  • payroll, compliance, training, management, accruals, cash management, journal, bi, cash, accountant, finance, journal entries, forecasts, reports, budgets
WORK EXPERIENCES
  • 2017-12-252017-12-25

    Senior Accountant

    United States Army

    • Responsible for month end close process including cash reconciliations, accruals, and forecasting. Prepare and analyze monthly financial results.
    • Assist in the decision making process by providing financial insight and forecasting of the company's sales, expenses, and revenue streams.
    • Assist with the preparation of annual budget and quarterly forecasts. Work with the department heads to ensure that all expenses are charged to the correct accounts.
    • Manage and maintain cash management system and ensure all transactions are recorded in accordance with company policies. Ensure that all bank accounts are reconciled and reported.
  • 2017-12-252017-12-25

    Account Manager

    Auburn University

    • Manage all aspects of Finance, including AP, AR, payroll, journal entries, financial reports, forecasts, budgets, and compliance.
    • Monthly close process, including accruals, cash management, bi-weekly payroll, and training of new employees.
    • Worked with the senior Accountant to ensure that all financial transactions were recorded in a timely manner. Maintained and reconciled the general ledger.
    • Responsible for monthly close process, including journal entries, accruals, and account reconciliations. Maintained and reconciled all balance sheet accounts.
    • Maintained fixed asset records, including additions, disposals, depreciation, and amortization. Calculated and recorded monthly depreciation expense.
    • Assisted in the preparation of monthly financial statements and analysis. Maintained and updated the general ledger. Performed month-end close and prepared journal entries.