AUDIT & FINANCIAL OPERATIONS | RECONCILIATION | INVENTORY
9+ years in corporate operations | 3 years in audit | U.S. client experience
I specialize in checking financial and inventory records for discrepancies—not just entering data.
As an Audit Staff member for 3 years in an RTW company, I reviewed cash collections, sales transactions, and stock inventory, investigated shortages and overages, and traced variances through transaction and inventory records.
My current U.S. client work includes:
Thrive Inventory — stock monitoring, inventory records, and internal transfers
Inventory reconciliation across 3 retail locations
Invoice and expense tracking
Purchasing and supplier records
Inventory variance analysis
Excel and Google Sheets data comparison and calculations
Financial and operational document control, Email and administrative operations
HOW I WORK WITH NUMBERS
Cash doesn't match → I trace the variance.
Inventory is short → I check the stock movement.
Invoice differs from the record → I compare the source documents.
Information is missing → I follow up before closing the task.
My audit background trained me to question discrepancies, verify source records, and document findings rather than force numbers to balance.
SYSTEMS
Microsoft Excel | Google Sheets | Thrive Inventory | Google Drive | Gmail | PDF Records | QuickBooks Online — Currently Studying
I am currently building my QuickBooks Online skills and can support businesses with financial data, reconciliation, inventory, purchasing, and accounting-related administrative work.
Core value: Audit-level checking applied to everyday business records.