Staff Accountant
CurrentResponsible for integration of bank transactions into general ledger accounts to ensure seamless and accurate financial reportingProficient in executing month-end journal entries, including accruals, to maintain accurate and timely financial records.Detected financial discrepancies, making necessary adjustments to keep records currentProficient in preparing bank reconciliations to ensure accurate and timely financial reportingBuilt and preserved robust relationships with external stakeholders, such as auditors and regulatory bodies.