account reconciliation, financial record maintenance, and customer service. Experienced in maintaining accurate cash
records, balancing daily accounts, reconciling general ledgers and bank statements, analyzing financial data, monitoring
expenses, supporting financial reporting, maintaining internal controls, and identifying discrepancies. Proficient in MS
Excel, MS Word, and computer-based accounting administration. Reliable, detail-oriented, organized, and able to work
effectively in fast-paced, team-oriented environments.