Assistant Controller Resume: Sample and Free Template [2020]
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Managed all accounting, financial reporting and audited the business
Managed day to date accounts receivable and pay roll
Managed and coordinated daily office functions
Managed $2 million annual revenue and expense
Managed over 100+ projects for the organization and provided oversight of all financial activities
Managed payroll and accounts payouts
Managed and supervised the daily accounting functions of a multi-state corporation
Managed financial reporting for the division
Managed daily operations of the company, which consisted primarily in accounting and financial statements
Managed day-to -today operations of the office, which consisted primarily in payroll and accounts payable
Managed vendor relationships and ensured timely payment of vendor bills
Assisted with the development of a comprehensive accounting and tax system for the firm
Assisted the Director of Compliance with all audit and regulatory matters
Assisted and supported the Chief Executive Officers of a Fortune 100 company
Assisted and supported the President of a major insurance firm with all aspects of the accounting and financial management functions
Assisted CEO with preparation of financial reports
Assisted and supported the Controller with monthly financial reporting, prepared and submitted quarterly tax reports, assisted with month- end closing and prepared journal entry
Assisted in the creation of a monthly budget and prepared the financial statements for each fiscal year
Assisted the General Counsel with all financial reporting
Assisted the Chief Operating Officers with financial analysis of the organization
Assisted customers with purchases of products and service; Assigned tasks to staff, prepared work schedules and monitored progress of employees
Assisted accounting manager with preparation of financial reports and analysis, prepared monthly bank reconccies
Assisted clients with various accounts
Assisted General Counsel with the review of all company policies and procedures
Assisted in the development of a new financial reporting process
Assisted customers with billing and payment issues, processed orders for new and existing clients
Assisted clients with various tasks, including but limited to Accounts Payable and Receivable
Assisted Accounting Manager with preparation of monthly and annual tax returns
Assisted accounting department with monthly and quarterly tax returns for over 200 employees
Assisted and supported the Director of Finance with financial and accounting reporting, including monthly close
Assisted with the preparation of monthly and annual budgets, including the preparation of financial statements and other related documents
Performed various financial functions including cash management and account reconciliation
Performed administrative and accounting functions for the firm's senior director
Performed various financial functions including, cash flow statement analysis and budget preparation
Performed financial and operational audits of the organization
Performed due diligence on potential clients, including preparing and analyzing client's financial records
Developed financial statements and reports for the Board of Trustee
Developed a spreadsheet to track and reconcile the general ledger
Developed monthly, annual and year end reports for the Controller
Developed a comprehensive accounting system for the organization, which resulted in a more efficient and accurate accounting process
Developed an effective and efficient filing process for the entire office
Developed the accounting policies and controls for a multi million-dollar company, including the preparation of monthly and quarterly tax reports
Developed internal control system for all accounts receivable and payable
Developed an Excel spread sheet to calculate the total monthly expense for each of the four divisions
Developed internal control policies and controls
Developed the first comprehensive, detailed accounting and reporting process for the company, including a comprehensive financial analysis and reconciliation
Developed financial reporting system for the accounting division; developed and implemented new financial reporting systems; developed and managed the annual audit of all accounts
Developed new business and expanded the company to a national market
Developed internal control system for the company
Developed accounting procedures and processes for the GAAS-9 reporting system and consolidated all financial data to the GAAR
Developed & maintained a comprehensive, accurate financial system for accounting and reporting, including the preparation of financial and operational statements
Developed and implemented a comprehensive financial reporting process for the company's subsidiaries
Developed a new financial statement for the corporation, including a monthly balance sheet and financial statement
Developed financial models for the purpose of identifying and resolving varities in the balance sheets and cash flow statement
Developed a new filing process for the accounting and bookkeeping functions of a multi million dollar corporation
Developed the accounting policies and controls for a multiyear, $100M portfolio of fixed income, equity mutual fund and alternative investment accounts
Developed internal controls and processes to ensure that SOE compliance was met
Developed budget, forecasts for the year and forecast of future financial results
Developed financial models and procedures for the accounting, purchasing & sales functions
Developed controls and policies for the SOx Compliance Program
Developed reports for the General Manager and Director of Sales
Prepared quarterly and year- end reports for the Controller
Prepared daily cash and credit reports for the General Ledgers
Prepared the annual operating budget and forecasted expenditures for the company
Prepared annual operating and capital budget
Prepared, analyzed financial reports for the Controller
Prepared general ledginess and balance sheets for the corporation
Prepared all monthly journal and cash reconcilutions for the company
Prepared annual operating budgets; reconciling cash and accounts
Prepared consolidated statements of accounts
Provided monthly and annual reports to the Controller, including financial statements and cash flow projections
Provided support to the Director of Finance and Controller
Provided accounting and budgeting services to the company
Provided customer support for all aspects of the business
Provided leadership and guidance to the Accounting department in all phases of the business
Provided guidance to the accounting staff on financial management of the company
Provided accurate and complete accounting of financial statements, accounts payables and expenses
Provided management with reports and information on the company
Provided input to the Controller for all financial and administrative activities
Provided strategic planning and oversight for the company, with a focus on improving the overall financial performance of a multi -billion- dollar organization
Provided assistance to the General Counsel and Controller in preparing monthly financial statements
Provided financial analysis and reporting to the Controller, General Manager and other senior executives
Provided guidance and direction to the internal auditing department
Provided input to the accounting team on financial status of the business and prepared journal entry entries
Provided accurate and appropriate data in response to inquiries from internal andor external sources
Led all accounting activities for a multi million-year company
Led and directed the implementation of a $2M ERP system for the entire company
Led $2 million in revenue and managed a $2 million budget for the organization
Led annual audit of $2 million in revenue and expenses
Led multiple cross functional teams to achieve high level of accuracy and efficiency in accounting
Led the development of a consolidated operating budget
Led a staff of five employees, responsible for daily operations of the bank, and responsible for all accounting activities
Led monthly close and prepared bank reconciliation for the entire organization
Led multiple teams of accounting, finance and sales staff in the preparation of tax reports, including quarterly and yearly financials
Led cross functional project to identify and implement a system for tracking the performance of SOX compliance
Led Accounting team in the development of a monthly journal report
Led business unit in revenue growth and profit
Led a team of five Financial Analytical analysts in the development of a financial model for the company
Led company's financial and budgeting efforts
Led business development and management of $2M annual revenue budget, including forecasting and financial analysis
Maintained and updated the general ledger
Maintained all financial and accounting functions for the firm, which included Accounts Payables, Receivable and General Accounting
Maintained a balanced balance sheet and income statements for the corporation
Maintained financial statements and reports
Maintained daily operations of the office including but limited to, answering phones and scheduling meetings
Maintained corporate and subsidiary accounts
Maintained an effective working relationship with the general public and other business partners, including the Board of Trustee, and other members
Maintained an annual operating budget of [] and a profit margin in excess of [] Responsible for the preparation and analysis of financial reports for the Board and other committees
Maintained a balanced balance of all cash and bank transactions in a timely fashion
Maintained accurate and detailed accounting files, prepared monthly financials and reports for management
Maintained an effective and accurate cash drawer, processed all sales transactions accurately and in a timely manner
Maintained corporate financials for the corporation, and assisted in all aspects of accounting
Maintained current and up keep of financial statements for the entire company
Maintained a balanced balance between the general ledger and accounts payable, prepared journal entry entries and reconciling accounts
Maintained current and updated the financial statements, prepared monthly and annual tax returns
Maintained an accurate and up to date filing of the tax returns for all entities
Maintained database of accounts, processed invosives for payment and maintained records of accounts
Maintained compliance with all applicable GAAP and SEC requirements
Implemented the new reporting system for all of the accounting functions
Implemented Quickbooks and Excel for the company's financial reporting
Implemented an automated reporting and accounting software system to streamlining the reporting processes
Implemented various systems to ensure that the accounting functions of a company were in compliance with GAAP and other federal regulations
Implemented and maintained the new procedures for all accounts
Implemented an automated accounting process for the entire organization to ensure accuracy and efficiency
Implemented an internal accounting program to improve the company
Implemented several new processes and systems to stream line the process and improve efficiency
Reported all financial data to the Board of Trustee and Controller
Provide a high standard of service to customers and staff
Assist with the creation of monthly and annual budgets
Assist with the management of all accounts recevings
Assist clients with various tax returns
Assist accounting department with month-end closing, including preparation of financial statements
Assist all accounting departments with preparation of journal entry
Assist on the development of new processes and systems for the company's financial statement
Ensured compliance with all GAAS and SEC regulations, as well
Ensured timely and complete audit of financials for the entire company
Ensured the timely and accurate preparation of monthly financial reports, including the analysis of cash flow, expenditures and profitloss
Ensured accuracy of monthly financial reports and ensured timely submission of monthly financial reports to the Board of Trustee
Ensured appropriate accounting and reporting of financial data to the Controller
Ensured accuracy of monthly financial reporting and prepared quarterly tax return
Ensured all accounting records and reporting are complete, current & accurate
Ensured timely and efficient preparation of monthly, yearly financial statements
Ensured compliance with GAAS and SEC requirements, as well
Ensured appropriate documentation and compliance with SOx policies, procedures
Ensured appropriate accounting and audited financial reports for the purpose of ensuring compliance with federal, State and Local tax requirements
Ensured effective and timely processing of all payroll related issues
Reviewed all financial reports and made necessary corrections to the system
Reviewed monthly and annual reports for compliance with federal and local regulations
Reviewed all monthly and quarterly reports for compliance with company and GAAP standards
Reviewed, approved and processed monthly financial reports for the SEC
Reviewed new and revised procedures to improve accuracy, productivity and efficiency
Reviewed and approved vendor contracts
Reviewed monthly and yearly budgets for the organization to determine if they were in compliance with the company policies and guidelines
Reviewed, analyzed financial data for the accounting division and made recommendations to the Controller
Reviewed contracts and agreements to verify compliance with company policy and procedures
Reviewed vendor contracts for proper payment and compliance with applicable federal, state & local tax laws
Reviewed balance sheets for all properties
Reviewed expense and revenue forecasts for the entire division and made recommendations for cost savings
Reviewed P & C statements for compliance with company policy and procedures
Reviewed monthly and annual reports for accuracy, prepared financial statements and other related reports
Reviewed the financial statement and made recommendations to the CEO
Reviewed daily cash reports and made necessary corrections to accounts
Reviewed various financial reports and analyzed variance to budget
Reviewed bank reconcits and balance sheet statements for compliance with company and federal guidelines
Reviewed corporate financials for compliance with federal and State regulations, including the Sarration Act and Fair Credit Practice
Maintain and update financial statements
Maintain a high degree of professionalism and integrity while interacting with customers, staff and other departments
Maintain current and update accounting files
Maintain an accurate and organized financial record of client's business activities
Coordinated with the Controller and Accounting Department to resolve discrepancies in the accounting records
Coordinated annual audit of all accounts
Coordinated multiple functions for the company's accounting and financial management
Coordinated annual and semiannuated budgeting for the entire organization
Coordinated new business and acquisitions with the company
Ensure compliance with GAAP and other financial accounting policies
Served as the liaison between clients and accounting department, including preparation of monthly and annual financial statements
Served customers with their accounts and provided information on how to resolve their account
Served multiple clients in a busy, high volume office environment
Served as the main contact for all financial and administrative functions
Served customers with a friendly and professional attitude; handled all cash transactions
Served a key leadership and strategic position in the organization to ensure that all financial and operational functions are carried forward
Served clients with a high-volume of in depth account management
Served taxpayers with their returns
Served with the Accounting department for a large multi -billion dollar company, including the preparation of financials for corporate and private clientele
Served as the liaison between clients and various internal agencies
Served on the Audit team for a $2M annual budget, including the review of financial statements and other related documents
Served internal and client auditing
Served to develop and execute the annual operating budget for a multi million dollar corporation
Served to improve the accounting system by implementing a process for the preparation of journal entry and monthly financial reports
Served over $2M in annual sales and marketing
Supported a portfolio of clients with various business and personal issues
Supported management with annual budgeting and financial analysis, including forecasting
Supported Accounting Department with preparation of financial reports
Supported Finance and Operations departments with the creation of a monthly financial report for the Controller
Supported financial management and reporting for the division of a major manufacturer
Supported senior executives in the preparation of annual financial reports and monthlyquarterlies
Supported multiple business unit managers and their teams in the development of strategic business plans and strategies
Supported the Accounting department by performing general ledger functions and reconciliations; prepared financial statements, balance Sheet and income tax reports, prepared monthly financial statements; performed bank reconcili
Supported accounting department with month to date financial reports and analysis
Supported management with month to year budgeting
Supported general accounting and audited accounts payable
Supported management in the creation of financial reports and monthly close
Supported corporate and partnership clients with preparation of quarterly and yearly tax returns for individuals, partnerships and small to large business
Supported corporate office with daily functions, such payroll processing
Supported all aspects of the business including, payroll and tax reporting
Supported accounting staff with month end close and financial analysis
Supported accounting staff with monthly financial reporting and reconculation
Supported all accounting and auditors
Supported management in the creation of a comprehensive, auditable financial reporting package
Supported a team of five Financial Analytical analysts and a Senior Controller
Perform the preparation of financial statement and related reports for the purpose of analyzing and summarizing financial data
Directed all financial reporting, budget preparation and management
Directed general accounting operations, budget preparation and reporting
Directed daily operations of the company's financial reporting system
Directed a team of 5 to 10 people in the preparation of financial statements
Directed strategic planning and business process improvement activities for the company
Completed and maintained all required SOx compliance reports and audits
Completed the annual financial reporting package for all of the entities
Completed various accounting duties such payroll and tax reporting for the company
Completed an internship with the company to learn about their system and how they work
Completed financial statements and prepared monthly reports for the controller
Completed various accounting tasks, such as preparing and submitting monthly, annual reports
Completed an annual audit of the company
Conducted audits of the financial statement and prepared quarterly tax reports
Conducted research and analyzed various tax issues
Conducted periodic audits of the financial statements and related reports
Designed strategic plans for the organization and oversaw all financial functions
Designed business process and procedures for the company's accounting system
Designed, implemented & tracked all accounting and operational procedures for the company's largest customer
Designed a system to monitor the financial performance of a large-scale company
Designed & implemented a system to track and report on the status of all transactions
Designed spreadsheets to calculate and track the financials of various entities
Designed business plan and implemented a new system for the accounting and reporting of financial data
Participated in the development of a financial statement for the purpose of analyzing and reporting on the financial performance of a business
Participated as a team member in the development of a comprehensive audit plan for the SOX compliance program
Participated with the development of a financial plan for the organization
Participated in the preparation of financial reports and analysis, including the review of accounts payable and account reconciliation
Participated during the implementation of a $2 million annual operating budget
Participated In the creation of a comprehensive accounting and reporting package for the Board of Trustees
Participated during the year-long process of preparing and analyzing financial statements for the company
Participated in the creation of a financial statement for the corporation
Participated as a key holder in the development of a financial reporting system for the organization
Participated on the Audit team and assisted in developing the annual audit plan and budget
Participated with the management and accounting team in preparing the annual budget and monthly financial statement
Participated and assisted in the creation of a financial report for the Board of Directors
Participated for the annual review of all accounting and reporting activities
Participated for the review of financial reports and other related documentation
Participated for the development of a financial statement for the Board of Directors and assisted in the preparation of financial and budget documents
Participated to assist in the creation of a consolidated Financial Statements
Participated to develop and execute a comprehensive financial planning process for the company, including budgeting and analysis of operating results
Participated in the preparation of monthly financial reports and other related documents, including financial statement preparation and analysis
Participated in the implementation of a $2M annual operating plan
Participated for the implementation of a new system for the accounting and finance departments
Participated extensively in the audit of all financial transactions and prepared audit schedules
Participated during the implementation of a new financial system for the organization, including a financial reporting process for the accounting staff
Utilized strong organizational and prioritizing abilities to ensure the efficient and effective functioning of a multi-franchise, high volume office
Utilized Excel to track and analyze monthly, weekly & quarterly financial statements for the entire company
Utilized the Oracle ERP to manage and reconcile the financial reporting for all of our clients
Utilized Quickbooks to track and analyze variance for the year
Utilized a Quickbooks system to enter and retrieve invoice data
Utilized a proprietary system to manage and reconcile the financials of multiple companies
Utilized financial software to track and report on all financial activity
Utilized various software to track and report on the status of accounts, and to prepare monthly financial reports
Utilized internal and third party vendor to manage the accounting and financial reporting processes
Utilized Oracle, Excel and Word to create reports for the Controller
Utilized SAP to process all financials for the corporation, including Accounts Payables and Receivable
Utilized GAIN to prepare and present financial reports
Utilized financial management system to track and report on all accounts payable, payroll and other expenses
Utilized Oracle to reconcile monthly and annual journal entry entries, prepared monthly and quarterly tax returns, reconciling bank accounts and payroll
Utilized Excel to prepare, analyze and present reports for Board of Directors, Executive Vice President and other senior executives
Utilized a combination of cash handling and credit applications to secure a high percentage of customers
Utilized Microsoft Word to enter and process inv
Utilized SAP to process payroll and tax payments, including the processing of employee timecards and payroll taxes
Utilized Oracle, MS Access & Quickbooks to maintain and update financial statements
Utilized accounting principles and techniques to analyze, interpret financial information and prepare tax returns
Utilized Oracle to manage and maintain the financial records of all accounts payable and receiving
Utilized standard operating practices and guidelines to maintain a safe, efficient and profitable accounting department
Utilized internal accounting system to process payroll and tax filings for over 100 companies
Utilized MS Access to maintain and track financials for the company
Utilized advanced accounting and tax skills to analyze, prepare financial statements and reports for the Board of Trusts
Utilized AS9000 to process monthly and yearly journal entries
Utilized QuickBooks to prepare and process all monthly, quarterly & year end tax reports
Utilized the Quickbooks accounting software to track and analyze financial information for the Board of Directors
Utilized SAP to create and update financial statements
Utilized cash management software to track and report on the balance of accounts
Utilized internal controls to maintain a balanced balance of accounts
Utilized accounting software to track and reconcile monthly, annual
Utilized cash management system to manage accounts receivings, payouts and payroll
Utilized knowledge of accounting practices and procedures to ensure that all financial statements were in accordance with company policies and federal, state & corporate guidelines
Utilized GAAP to analyze and reconcile monthly, year- end financial statements
Utilized excel to prepare and submit monthly, yearly financial reports to the corporate accounting department
Utilized extensive knowledge of the financial industry to prepare and analyze reports, financial analysis of the business and budget
Utilized Oracle Financial Reporting to create and manage the monthly financial reporting for all of the company
Analyzed and reported on financial data
Analyzed all aspects of the company including payroll and accounts receivable
Analyzed sales and profit reports to identify opportunities for improvement and made recommendations to management
Analyzed bank's financial statements and balance sheets to ensure that they were in line with company's policies and procedures
Analyzed balance sheets and income statement for the purpose of reconciling
Analyzed monthly and annual operating reports
Analyzed monthly and annual budget variance
Analyzed all accounts for balance and reconcile
Analyzed accounting and finance functions for a small law office and assisted in the preparation of financial statements
Analyzed complex and complicated financial data to identify areas of improvement and recommended improvements
Analyzed various accounting and reporting functions to identify potential various issues and recommend solutions
Analyzed financial statements and other reports to identify variance
Analyzed, analyzed and interpreted data to develop financial models and forecasts for the purpose of improving business operations
Analyzed business processes and implemented changes to stream line the process and reduce costs
Analyzed daily cash receipts and bank deposits to determine the appropriate course of action
Analyzed data and made decisions on financial statements, budgeting and reporting
Analyzed various financial reports and presented to the CEO for approval and review
Analyzed sales and use taxes for the state of Ohio
Supervised and managed the preparation of financial reports and balance
Supervised the preparation of all journal and balance-account reports
Reviewed and approved vendor statements, expense report preparation and other accounting reports
Established and implemented a new financial system for the accounting division
Established, managed and maintained a comprehensive accounting program for the company
Established an independent business in the area of financial management, accounting and tax preparation
Established all financial and accounting controls
Established all financial and accounting procedures for the business unit, including budget preparation and reporting
Established credit and cash flow management procedures
Established and managed the corporate accounting system for a small company
Established the accounting system for a new division of the corporation
Established accounting policies and practices
Established policies and guidelines for the financial statement, budget and cash flow management
Established relationships with clients and partners to provide financial services
Established and maintained a financial accounting system for the corporation
Established a new financial accounting department for the firm and created a consolidated financial system for the company
Established new accounting system for the company, including all accounting and reporting functions
Established accounting procedures and processes for the organization, while maintaining compliance with GAIA and SEC guidelines
Established an internal accounting and reporting system for the organization
Established, managed and implemented a new accounting department, including the preparation of annual operating budgets and the management of financial statements
Established corporate accounting policies and practices, procedures for all accounting activities
Coordinate and maintain a high volume of customer requests and complaints
Trained new hires and assisted with the development of new procedures
Trained on the new accounting software, and worked with the company's accounting department to ensure that the company's financials are in line with the company and its customers
Trained team of 5 employees on the process and provided feedback to management on the progress of their department
Trained the accounting department on new procedures and processes, including the use of Quickbooks
Trained team of 10+ analysts and managers on new reporting system
Trained 10 new hires, and created a training program for all new employees
Trained in the preparation of journal entry and analysis
Trained all staff on proper procedures and reporting requirements; developed, implemented & maintained a comprehensive accounting and auditable financial system
Trained on the ERPS System and worked with other systems to ensure proper functioning
Trained the new hires on all accounting and finance duties including accounts payablereceivable
Trained for the role of General Ledgers and Accounting Controller
Trained team of analysts and managers on the accounting process, including financial statements and balance sheet reconciliation
Trained staff on proper procedures and company accounting policies, including preparation of journal vouchers and balance sheets
Trained to manage and maintain the accounting system for a $2 billion dollar corporation
Trained to handle and process cash, credit cards & checks for the entire branch
Trained accounting staff on proper procedures and controls, including preparation of monthly financials and reconcilations
Trained the new hires in accounting procedures and company standards
Trained management team on proper use of company accounting systems
Trained as a team leader and assisted in the creation of a monthly financial reporting system
Developed and maintained a budget for the department, which included allocating funds to the appropriate accounts and ensuring all expenses are paid in a timely manner
Develop reports and analyze data to identify areas of improvement and recommend solutions to improve operations
Develop & implement accounting policies and procedure for the department, including budget preparation and reporting
Developed and managed the annual operating plan
Develop spread sheets and other accounting documents for the Board of Directors
Developed and maintained accounting procedures for the organization and its employees, including preparation of financial reports and balance
Support in the development of financial statements and reports for the Board of Trustees
Support all accounting and administrative activities
Support all accounting and payroll activities
Helped to create a new process for the company to use in their financial statements
Helped with the creation of a system to manage the company's SOx compliance
Helped the company to achieve a $2 million budget in the first quarter of 2014
Helped create and maintain a system to manage the accounting and financial reporting for a large, multi state corporation
Helped the Company to become a better and safer place to work
Helped establish and maintain a strong, efficient team of employees
Helped set up and run the company, including hiring new employees
Helped implement a system to manage the revenue cycle for all of our customers
Helped maintain the financial records of all accounts
Helped plan and execute the company wide financial plan for all of its employees
Helped plan and execute the company wide financial planning and analysis
Helped with the development of a monthly budget and the annual financial statement preparation
Helped to prepare the annual financial statement for all of the companies
Helped develop and execute a strategic marketing strategy for the division
Helped develop and manage the first ever audit compliance manual for the company's financial statement
Helped the company grow from one entity to a full time company
Helped prepare and review the financial statement for each of our clients
Helped create and manage the annual operating plan for a multi-million Dollar company
Helped implement and monitor the financial statement
Helped set up and manage the company
Helped establish and manage the financial statement for a large multi-million company
Helped with the development of a new business model for the firm, which resulted in a significant increase of the company's profitability
Helped to prepare and process the annual general lede tax returns for the state of Florida
Helped manage the financial and operational aspects of a multi-billion company
Helped manage the financial statement and budget for a large-sized corporation
Helped organize and implement the company's first ever
Helped organize and implement the company's annual budget for all departments, including the General Ledgers and Payable
Helped maintain and improve the company's accounting procedures
Helped coordinate the transition of a new company from the old system to a more efficient and cost effective one
Helped maintain the general ledger and prepared financials for the Controller
Helped set up and manage the accounting system for this $2 billion company
Helped plan and execute the company's first ever financial audit, and helped to develop the first ever corporate audit
Involved in the development of financial reports for management
Involved and participated in the development of financial reports for management review
Involved primarily in the preparation of financial reports and monthly reconciliations for the company
Involved in all internal and client audit engagements including the preparation of all financial and accounting reports
Involved with the creation of a new financial reporting process for the Company
Involved and assisted in the development of a system for tracking and auditing of the accounting functions
Involved extensively in the management of all aspects related to the financial statement preparation of all corporate and individual income taxes
Create a new system for the accounting of all accounts payable and payroll
Hired staff and managed payroll
Hired employees and managed their work flow, payroll processing and reporting
Hired all new staff, managed payroll and budget
Hired staff and oversaw the accounting department, prepared financials and reports
Hired employees, prepared and maintained payroll records
Hired new employees and oversaw the day to days accounting functions of the company
Hired new employees and oversaw their daily activities, as well
Handled all aspects of the financial statement, budget and cash flow analysis for the corporation
Handled the daily cash flow and accounts receivable functions
Handled a large amount of accounts receivings and payable
Handled complex and sensitive transactions for the purpose of resolving complex issues
Handled day to night cash transactions and balanced the bank at end of each shift
Handled financial transactions for the organization
Handled a variety of accounts including payroll and tax preparation; general ledger, cash flow analysis; and accounts receivable