ALLISON TREASURE
Charlotte North Carolina 28215
Email: ac2hbc@r.postjobfree.com
Cell: 704-***-****
OBJECTIVE
To obtain employment in a dynamic and progressive organization where creativity, initiative and team work is of utmost importance to achieve the organization’s corporate objectives. To assert myself to a level at which I’m seen as an invaluable asset to any organization I am a part of. To apply and nurture talents while developing skills learnt along the way in an environment that is challenging, and motivates me to strive for my goals.
EXPERIENCE
1992- 2002 – Accounting Clerk- Transocean Shipping Limited
Duties & Responsibilities
1992- 2002 – Accounting Clerk- Transocean Shipping Limited
Preparing Weekly Payroll and Daily Lodgment.
Responsible for all Payable and assisting in Receivable functions
Reconcile Monthly Bank Reconciliation Statement and preparation of Income Tax Return.
Preparing Monthly Disbursement for all Principal’s and Pro-forma invoices.
Relief cashier on a daily basis during her lunch break.
Maritime & Transport Services (February 24, 03 – August 25, 17)
Duties & Responsibilities
Maritime & Transport Services (February 24, 03 – August 25, 17)
Position: Disbursement Supervisor.
Preparing Proformas for each vessel submitted to Principals and advance received before arrival of vessel.
Assist with billing and filing of invoices and Preparation of monthly.
Assist with Operation Department for timely information on vessel arrival.
Response to all Customer queries within 24 hours of receipt.
Verify and approve purchase order, and invoices for payment.
Supervising staff of ten personnel and assisting with monthly receivable statements for the group of companies.
Collection of outstanding funds and unpaid invoices.
Reconciling monthly bank statement for payment received from customers.
Ensure all communications are handled timely, efficiently and Professionally.
Recommend improvement to billing process/policies. Ensure that vendor invoices are entered accurately and timely.
Providing customer services regarding collections issues, process
customer refunds, process and review account adjustments.
Responsible for monitoring and maintaining accounts, customer calls account adjustment writes off small customer balance and reconciliations and processing credit memos.
Send quarterly statement and annual confirmations for auditors.
Perform other assigned tasks and duties necessary to support the Accounts Receivable Department.
EDUCATION
1992- 1994 Jamaica School of Commerce – Kingston, Jamaica
Accounting & Secretarial Certificate.
2003-2008 B & B University College – Kingston, Jamaica
Association of Accounting Technician (A.A.T. )
Associate Degree
2008-2017 Marriage Management Institute – Kingston, Jamaica
Association of Chartered Certified Accountant (ACCA)
Level 11 ( Present)
SKILLS & ACTIVITIES
Accounting Software - (Management Information System) MIS
Customers Services Oriented
Excellent Communications Skills
Knowledge of Microsoft Office Suites, excel and spreadsheet
Posses Strong analytical and problem solving skills with the ability to make well thought and decisions
Ability to complete task at an efficient time
Typing Skills
Knowledge of Peachtree Accounting.
COURSE EXPERIENCE
Pitman Accounting, Cambridge Accounting and Pitman type-writing skills.
REFERENCES
Available upon request.
PERSONAL DATA
GENDER: Female
MARITAL STATUS: Single