Accounting
Started: 2/28/1995
Duration: 10000 months
I have Accounting experience and have learned how to ensure financial accuracy, compliance, and reveal strategic insight to help businesses thrive.
- Financial Reporting & Analysis: Prepare and interpret balance sheets, income statements, and cash flow reports—translating numbers into clear, actionable insights.
- General Ledger Management: Maintain chart of accounts, reconcile transactions, and close periods efficiently to deliver reliable monthly, quarterly, and annual results.
- Budgeting & Forecasting: Build and monitor budgets, perform variance analyses, and model scenarios to support data-driven planning.
- Accounts Payable & Receivable: Oversee invoice processing, payment cycles, credit terms, and collections—optimizing cash flow and vendor relationships.
- Tax Preparation & Filing: Calculate liabilities, prepare returns, and file on time at federal, state, and local levels—minimizing risk and maximizing credits.
- Systems & Automation: Leverage ERP and accounting tools (QuickBooks, SAP, Oracle) and automate workflows with Excel macros and scripts for efficiency and error reduction.
Key Skills: Financial Reporting · General Ledger · Budgeting & Forecasting · AP/AR · Tax Compliance · ERP Systems · Excel Automation
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