Set - up and / or maintain accounting program files to ensure efficient work flow and
accuracy of accounting activities.
Not exact matches
Will be responsible for managing the
accuracy and productivity
of day - to - day
activities of accounts payable, cash receipts and disbursements, daily cash, fixed assets, intercompany transactions, accruals, allocations, purchase card administration, general
accounting activities, cash forecasting, and month - end close for the company.
Prepared documents to ensure the
accuracy and timeliness
of accounting documents submitted by assigned
activities.
Preparing
accounting output
of all trade
activities and ledger adjustments with regard to accrual
accuracy
Monitored and reviewed client
account activity to ensure
accuracy, proper settlement
of transactions and reconciliation
of sales credits and fees.
• Perform month - end consolidation
activities such as
accounting for foreign branches and cash flow entries • Oversee the development
of monthly management reporting packages including identifying critical forecast gaps • Perform in - depth analysis to ensure completeness and
accuracy of statistical data • Evaluate correlation among statistical data and summarize findings across clients and products • Analyze both current and past financial data and performance to help make informed decisions for the future • Explore investment opportunities and provide feedback to management to help them decides which ones to explore further • Create and maintain effective communication with key members to provide information regarding financial closings and deliverables • Research and prepare variance analysis and explanations and report deliverables
Senior Accountant Resume Objective 3: To deliver all responsibilities and roles as a senior accountant and make a proper use
of my skills to train and manage the junior accountants for
accounting activities and maintain the records
of the financial transactions
of the company with
accuracy and efficiency.
Managed the
accuracy and productivity
of day - to - day
activities of A / P, cash disbursements, inventory, fixed assets, general
accounting, and operations.
• Demonstrated ability to handle filing and record management
activities in a systematized manner • Focused on resolving clerical and administrative issues and handling limitation by employing exceptional analytic skills • Documented success in performing data entry duties under strict deadlines and
accuracy standards • Qualified to work as part
of a team and individually • Well - versed with Microsoft Office applications and Databases • Special talent for creating spreadsheets using a host
of applications such as MS Excel • Adept at typing letters, memos and emails • Effectively researches on the Internet and through various other sources such as books and periodicals • Skilled in scheduling appointments with a special focus on time management and organization
of information • Committed to maintain confidentiality
of information • Talented in preparing payrolls and performing light bookkeeping
activities to provide support to the
accounting department • Knowledge
of creating schedules according to each staff member's individual work duties and priorities
• Analyze and monitor credit worthiness
of assigned
accounts • Review and prepare financial and operational reports based on variance analysis • Ensure timely completion
of general ledger balances with
accuracy • Oversee general
accounting activities including transaction recording,
account balancing and balance sheet reconciliation • Recommend and approve credit lines within prescribed guidelines • Supervise day to day operations related to cost
accounting, deduction and payroll processing
• Perform general and specific
accounting calculations using 10 - key calculators and copy machines • Maintain and balance company books • Handle employee payroll services by calculating salaries and superannuation • Prepare periodic
accounting reports and assure their correctness • Assure mathematical
accuracy of all posted entries • Classify and summarize numerical and financial data for record maintenance purposes • Perform debit, credit and totaling
activities on
accounting systems and spreadsheets • Recognize and report discrepancies in
accounting data and perform reconciliation duties • Monitor loan and advance statuses and prepare and deposit checks for payment
of utility bills • Complete and submit tax forms on timely basis • Calculate and issue bills, invoices and
account statements
• Verify the
accuracy of invoices and checks and post relevant information in predefined
accounting databases • Prepare and submit invoices and handle payments • Coordinate cash and check deposit
activities • Sort and enter
accounts payable and receivable data into company database • Prepare and produce accurate financial statements such as balance sheets • Maintain record
of assets and liabilities and complete and deposit tax returns • Reconcile bank statements and manage cashbook management on a daily basis • Issue and maintain records
of petty cash • Audit
accounts to ensure
accuracy and address any discrepancies found during auditing procedures • Process refund requests and reconcile monthly statements • Post details
of business transactions including received and disbursed funds • Type vouchers, invoices, bank drafts, checks and reports • Post cash receipts and expenses in designated
accounts software • Report
accounting discrepancies to supervisors and assist in resolving them and any issues that customers may have with their
accounts • Compile and maintain financial records
of the company by recording and summarizing data • Keep record
of business transactions, compute costs and verify bills • Create statistical records by combining data and performing computations • Prepare payrolls and transfer employees» salaries to their
accounts on a monthly or bi monthly basis • Manage day to day internal controls and arrange for purchase orders to be prepared
• Competent at delivering high quality written and verbal content by exhibiting strong presentation skills • Documented success in effectively responding to requests from team members and clients, keeping
accuracy and timeliness in mind • Exceptionally well - versed in handling social media and online communities in relation to broader media mixes • Proficient in researching and preparing materials for new business opportunities and presentations • Highly skilled in prioritizing work, meeting deadlines and actively communicating deliverables and project progress • Deeply familiar with coordinating administrative tasks and projects, and ensuring appropriate task execution • Effectively able to assist with
account activities such as special and media events, media relations, social media, desk - side briefings and program implementation • Qualified to develop and write press releases, fact sheets, media materials and byline articles • Adept at pitching and achieving editorial placements and handle client correspondence and blog posts • Unmatched ability to create contracts, sales kits and meeting resources from scratch • Proven ability to build and maintain strong relationships with vendors and suppliers to ensure timely and accurate delivery
of required supplies • Track record
of effectively managing vendor libraries and handle new venue research
activities • Deeply familiar with initiating estimate revisions for client approvals, and disseminating project direction as required
Medical Billing Manager BRONX MEDICAL CENTER, Bronx, NY 6/2012 to Present • Lead medical billing and collection processes by handling calls and correspondence on all overdue balances • Coordinate efforts with management to develop meaningful metrics and ensure that they are achieved • Develop and train team members to carry out specific medical billing, coding and collection
activities • Oversee the operations
of the billing department to ensure coordination
of medical coding, charge entries, claims submissions and payment postings • Follow up on
accounts receivables and handle reimbursement management duties • Analyze billing and claims for
accuracy and completeness and ensure that claims are submitted to appropriate insurance entities • Prepare and analyze
accounts receivable reports and insurance contracts • Audit present procedures to monitor and improve the efficiency
of billing and collection procedures • Participate in the development and implementation
of operating policies and protocols • Realign staff members to meet changing trends impacting coding, collections and
accounts receivables
Ensure
accuracy of customer data in
accounts receivable database to assist in collections
activities
Change your bank card PIN number regularly and always check the
accuracy of your monthly bank
account and credit card statements, notifying your financial institution immediately to validate any suspicious
activity.