Bookkeeper (EDI Environment) - Spring Systems Inc - Valley Stream, NY
(2025-02)
- Manage financial transactions tied to EDI systems, ensuring accuracy across multiple client accounts
- Investigate and resolve billing discrepancies and transaction issues impacting customers and vendors
- Partner with internal teams to troubleshoot system and data issues, improving workflow efficiency
- Support client inquiries by identifying root causes and delivering timely, effective resolutions
- Maintain financial records, reconciliations, and reporting to ensure compliance and data integrity
- Assist with month-end close, including reconciliations and journal entries
Accounting Manager (Client-Facing Operations) - Port Brokers Inc - New York, NY
(2023-05 - 2025-02)
- Oversaw daily accounting operations while acting as a primary contact for client account issues
- Resolved discrepancies related to invoicing, payments, and revenue tracking
- Coordinated cross-functional teams to ensure accurate and timely service delivery
Accounting Specialist Manager (Logistics / Operations) - Sekologistics - New York, NY
(2021-04 - 2023-05)
- Managed financial operations supporting logistics and client accounts
- Processed transactions across multiple systems, ensuring accuracy and compliance
- Reconciled accounts and resolved discrepancies to maintain clean financial records
- Collaborated with operations teams to support shipment-related billing workflows
- Prepared invoices, purchase orders, and financial documentation
- Contributed to reporting improvements and operational efficiency initiatives
Personal Banker - JPMorgan Chase & Co. - Jamaica, NY
(2018-01 - 2021-04)
- Delivered personalized banking solutions including accounts, credit products, and financial services
- Built strong client relationships by identifying needs and recommending tailored solutions
- Handled account management, transactions, and issue resolution in a high-volume environment
- Consistently met or exceeded sales and service goals through effective cross-selling
- Maintained compliance with banking regulations and internal policies
- Collaborated with team members to improve customer satisfaction and branch performance