Finance manager - Finest Option Ltd
(2019-06)
- Provide and interpret financial reports
- Create budgets and forecasts for the business
- Create strategic business plans, offering insights and financial advices for best business decisions
- Liaising with auditors and tax agents
Assistant Accountant - Ballard Spahr - Philadelphia, PA
(2016-05 - 2019-01)
- Reviewed the invoices and employees expense reimbursements for appropriate documentation and approval prior payment. Processed invoices for payment
- Entered the transactions information in the company's system for related accounts
- Prepared financial statements including balance sheet, income statement and statement of cash flows
- Prepared budget
Collection Representative - Modspace - Berwyn, PA
(2015-06 - 2016-03)
- Maintained the database by entering new, updated customer and account information
- Collected payments on past due bills and created a list of people who had not made payments
- Called customers, utilized computer system to handle skip tracing, informed clients of overdue accounts and amount currently owed, attempted to collect payment
- Reviewed terms of sale or loan documents, ensured all customer information was correct, including phone numbers and address, listen to customer's story and determine if debt can be collected
- Set up repayment plans and new terms of sales, offered advice or referred customers to debt counselors, recorded new commitment to repay debt
Accountant - Unique Industries - Philadelphia, PA
(2012-01 - 2015-05)
- Operate computers programmed with accounting software to record, store and analyze information
- Filed and remitted taxes and other obligation
- Analyzed financial data and recommended ways to help the organization run proficiently, offered advice to organizations on how to reduce cost, improve their revenue, and boost profit
Materials controller - Veris Industries - Portland, OR
(2008-10 - 2011-05)
- Cycle count of materials, delivery of materials to team members and different stock locations. Determine the cause of disparities between the physical stock and the stock shown by the computerized inventory system used by the company