Edna Blackshear - Director of Finance Resume Simple
Accomplished finance professional with over 15 years of experience in financial reporting, analysis, and forecasting. Proven ability to manage multiple projects and consistently meeting deadlines under pressure.
payroll, bank reconciliations, balance sheet, journal entries, cash flow, journal, closing, consolidation, accounting software, cash, onboarding, reconciliations, general ledger, accounting, reports, budget, and accounting, tax
Director of Finance
Prepared monthly financial statements, journal entries, account reconciliation, and budget adjustments for the organization. Managed all Finance and accounting functions, including the preparation of reports for the Board of Directors.
Organized and implemented a new audit process for the sales tax department resulting in a reduction of the number of days of the bank reconciliation from a single statement to a two-day close.
Manage the Associate relationship with the bank to ensure that all transactions are processed in a timely manner. I have worked with the bank to ensure the proper recording of all gifts and donations.
Managed the accounting department, including the preparation of monthly financial statements and management reports. Responsible for the preparation of the annual budget and quarterly forecasts.
Managed the financial reporting of the company and its subsidiaries. Maintained and reconciled all bank accounts. Monitored and reported on the company's cash flow.
Managed the financial reporting of the company, including the preparation of the annual budget. Prepared and presented monthly and quarterly financial reports to the Board of Directors.
Reviewed and approved journal entries, account reconciliations, and monthly closing reports. Managed the accounting department, including the preparation of the annual budget and quarterly forecast.
Maintained and reconciled balance sheet accounts including bank reconciliations, payroll, cash flow, and consolidation. Ensured tax return was accurate and timely.
Managed and trained new employees on accounting software and procedures, including onboarding of new employees. Prepared and processed all employee expense reimbursements.
Supervised the general ledger and accounting functions for the company. This included the preparation of monthly journal entries, account reconciliations, and month-end close.
Reviewed and analyzed monthly inventory and cost of goods sold and variances. Prepared and presented the results to the Controller.
Developed and implemented a new inventory system to track inventory and cost of goods sold. Improved the accuracy of the perpetual inventory records by implementing a new process to track and report on the sales.