* Processed and maintained financial records in QuickBooks
Online and NetSuite, ensuring accuracy and compliance *
Oversee full cycle accounts receivable and payable: invoicing, collections,
vendor payments, aging analysis * Reconciled bank and credit card statements
monthly, identifying and resolving discrepancies within few?hours to ensure clean month?end
close* Generated and analyzed financial reports (P&L, Balance Sheet, Cash
Flow), supporting strategic decision-making for leadership * Implemented
process improvements, streamlining data entry workflows and reducing manual
entry * Maintained journal entries and general ledger, ensuring accuracy for
internal and external audit readiness