Accountant
• Prepared monthly journal entries and reconciliations.• Reconciled accounts and created documents for monthly closure procedures.• Completed year-end closing processes with controllers and external auditors.• Reviewed documents and accounts for discrepancies and resolved variances.• Updated general ledger with latest entries.• Reviewed budgets and communicated discrepancies to senior management.• Reconciled balance sheets and streamlined best practices for balance sheet processes.• Handled month-end and year-end end finances by managing and reporting fixed assets and other data.• Evaluated and improved financial records to make important business decisions.• Reviewed business operations and obligations to help organization function at acceptable level.• Partnered with auditors to track errors and add contributions to maintain accuracy.• Expedited payroll and invoicing by streamlining billing systems.