I help lending, finance, and small business owners keep their books accurate, their transactions reconciled, and their financial records audit-ready — so they never have to worry about billing errors or missing remittances.
I currently work as a Billing & Remittance Associate in the lending industry, where I verify billing entries and process remittances by cross-checking every transaction against source records. Before that, as a Sales Manager, I prepared daily sales and transmittal reports in Excel and Google Sheets, managed inventory records, and handled financial documentation and cash transactions in QuickBooks — experience that taught me how to keep numbers clean under real business pressure, not just in theory.
Problems I solve:
• Messy or unreconciled transaction records that don't match source documents
• Delayed or inaccurate billing and remittance processing
• Disorganized bookkeeping that isn't ready for review or audit
• Sales/inventory reports that take too long to prepare manually
Tools I know: QuickBooks, Microsoft Excel, Google Sheets, Google Workspace — plus working knowledge of Figma, Canva, and Photoshop for clients who also need light design support.
Why you can trust me: I come from a compliance-heavy industry (lending) where a single reconciliation error has real financial consequences — so accuracy isn't optional in my work, it's the standard I already operate under. I'm detail-oriented, deadline-driven, and I communicate clearly when something doesn't add up instead of guessing