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System Administrator Accounting

Location:
Bear, DE
Posted:
November 15, 2017

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Resume:

Foxton Dr. Newark DE *****

**********@*****.*** 862-***-****

Career Focus

As a Red Hat Certified System Administrator, my goal is to obtain a Linux system administrative or support engineer role, where I can engage my technical training and experience in installing, configuring and maintaining Linux server based systems and network applications.

Summary of skills

Experience using Operating System software such CentOS 6.4 and Red Hat Linux 6 & 7

Introduction of Servers into the network; Installation and configuration

Managing Users and Group while administering applicable permissions

Experience with monitoring systems such as Nagios

Knowledge of full Network fundamentals, DNS DHCP, TCP/IP and UDP

Virtualization experience, working with physical and logical volumes and also volume groups

Knowledge of bash Shell Scripting to automate processes

Experience with LAMP web server and using SQL to query relational database tables

Professional Experience

Linux admin, FajSystems LLC April 2016 - Present

Current role involves installing Red Hat Enterprise Linux on physical and virtual machines and configuring these servers to communicate within the network, setting up Samba file sharing between Linux and Windows servers; creating user accounts; partitioning disks and creating file systems which are then mounted in a persistent state; I also write scripts to complete tasks such as updating the kernels on several servers and automate other routine processes; I occasionally work in a production environment where I collaborate with Linux engineers to introduce development configuration changes to customer facing or live servers.

Loans Operations Analyst (Contract), Barclays Bank Plc. April 2015 - Present

Current responsibilities include the servicing of a diverse portfolio of loans, which includes Libor, base rate, and PIK loans, I routinely prepare and approve manual wire payments, coordinate the reconciliation of forex payments, monitor MIS reports in order to fix both data integrity and cash breaks resulting from trading and other transaction related activities; recent consolidation initiatives will soon require me to build new loan tranches and perform other facility related servicing.

Loan Trade Analyst (Contract), Citigroup – New Castle, DE Aug 2014 – April 2015

Overall responsibilities involve executing the daily trading of loan positions within the Global loans department; as a part of my function I verifying counterpart loan positions, analyzing loan documents to ensure that requirements of credit agreements are adhered to, daily creation of PCR reports, disseminating next day trades to secondary loan traders and also completion of Mnemonics and SSI updates as necessary.

Accountant – Senior (Contract), Citi Group- New Castle, DE, Sep 2013- Aug 2014

Supporting the legal entity conformity project. Supporting the process of maintaining the bank’s legal entity structure listing. Updating the Global Entity Management System (GEMS) for ongoing changes to the structure. Supporting the external and internal reporting requirements for the group. This includes FR Y-10 report, which provides data on organizational structure changes to Client System. Ongoing support related to the GEMS enhancements project, data quality initiatives and workflow tool implementation.

Financial Systems Analyst, Checkpoint Systems- Thorofare, NJ, June 2012 to Aug 2013

I had responsibility for setting up new users, assigning security access and rights, opening and closing accounting periods, working with relational database to modify, query and analyze database information; and in the process producing useful information for management in the form of ad-hoc reports. I also created input screens for the treasury department to aid in the budget and forecasting process.

Accounting Assistant, Sharp Electronics Corporation- Mahway, NJ, June 2007 to June 2012

Analyzed and reconciled various financial sub-systems, including timely preparation of monthly and period ending reports. I also analyzed accounting records, reports, journal vouchers, ledgers and other accounting documents for accuracy and assisted the controller in the monthly closing process.

Accounts payables Clerk, Baosteel – Hackensack NJ, August 2007 to October 2007

I had full responsibility for the accounts payable process, which involved coding and processing supplier invoices, running check and wire payments on a weekly basis, reimbursing travel and other expense vouchers, and also responsibility for petty cash.

Student Accounting Specialist, Universal Technical Institute – Exton PA, Dec 2004 to Sep 2005

I performed college accounting functions such as collection and posting of tuition to student accounts, worked closely with the financial aid department to fund student accounts and collect past due balances, reconciled credit card expenses and performed petty cash and accounts payables functions.

Education

Wilmington University, December 2014

MBA – Management Information Systems New Castle, Delaware,

William Paterson University, May 2012

Bachelors - Accounting Wayne, New Jersey

Certifications

Red Hat Certified System Administrator



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