Coordinated team collaboration to share ideas and build best Practice
Reconciliation & Maintaining of Ledgers, keeping bank detailsupdate, keep eye in cash reciptes and payments
Maintained constructive client and vendor relationships
Reconciliation & Maintaining of Ledgers, keeping bank detailsupdate, keep eye in cash reciptes and payments.
Maintained constructive client and vendor relationshipsContributed to business development efforts to drive revenueand meet corporate objectives.
Coordinated team collaboration to share ideas and build best PracticeResolved customer service issues by finding immediate solutions, increasing customer confidence, and decreasing escalations to executive office.
Reconciled accounts and reviewed expense data, net worth, andassets.Maintained up-to-date knowledge on professional accountingstandards to manage financial recordkeeping.
Documented cash, credit, fixed assets, accrued expenses, and line of credit transactions.Completed daily cash functions like account tracking, payroll and wage allocations, budgeting, donating, and cash, and banking reconciliations.