Kimberly Peek - Accountant Resume Simple
SUMMARY
A highly motivated, results-driven, and dedicated professional with over 10 years of experience in the areas of finance, accounting, and financial management.
SKILLS
  • technology, taxes, management, accounting systems, tax, auditing, reporting, reports, internal auditing, financial statements, accounting, financial reports, and accounting, tax returns, invoices, computer
  • financial statements, management, accounting, financial reports, bookkeeping, reporting, invoices, reports
WORK EXPERIENCES
  • 2017-12-252017-12-25

    Accountant

    Volunteers of America

    • Compute taxes owed and prepare tax returns, ensuring compliance with payment, reporting and accounting information. File all computer backups and manually enter into the computer system.
    • Prepare financial reports and statements for CPA auditing. Assist in the implementation of new accounting software. Design and implement a computerized accounting system.
    • Develop, implement, modify, and document recordkeeping and accounting systems, making use of current computer technology. Uses QuickBooks software to record, store, and analyze financial information.
    • Prepare financial statements by collecting, analyzing, and summarizing account information and trends. Create invoices and record keeping for the company‚Äôs management.
    • Comply with federal, state, and local financial legal requirements by studying existing and new legislation, enforcing adherence to requirements, and advising internal controls.
    • Comply with federal, state, and local financial legal requirements by studying existing and new legislation, enforcing adherence to requirements, and advising internal controls on company policies.
  • 2017-12-252017-12-25

    Accountant

    Harbin Medical University

    • Maintain bookkeeping records and files, such as invoices, receipts, and receipts. Prepare and distribute monthly financial and management information to the Board of Directors.
    • Prepare financial statements and reports for accounting and reporting purposes. Reconcile bank statements. Assist with month end close.
    • Compile financial information to prepare financial reports by collecting, analyzing, and summarizing account information. data. Reconcile bank statements.
    • Reconcile bank statements and credit card statements to ensure accuracy of financial reports. Prepare and process journal entries. Assist with month end closing.
    • Prepared and analyzed monthly financial statements and variance analysis. Performed month-end close and balance sheet reconciliations. Assisted with the preparation of the annual budget.
    • Maintain and balance subsidiary accounts by verifying, allocating, posting, reconciling transactions; resolving discrepancies. Maintained financial records by collecting, analyzing, and summarizing account information.