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Accounts Receivable Payable

Location:
Dallas, TX
Posted:
November 10, 2023

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Resume:

Jaime J. Varkey

Wylie, TX ***** Cell: 516-***-**** E-mail:ad00hq@r.postjobfree.com

Aspire to transfer almost 14 years of Accounting and Finance experience to a frontline Organization

A competent professional with almost 14 Years of experience in Accounting, Finance, Banking and Customer Relationship Management.

Conversant with various Accounting, Finance and Banking norms.

AREAS OF EXPERTISE

Bookkeeping: Assessing the inflows and outflows of the accounts. Entering the invoices and paying them at the accurate time. Communicating and assisting clients with billing and payments.

Finance: Assist the controller in preparing monthly financials.

Banking: Ability to assist customers and clients in variety of ways, assisting customers/ clients with making deposit and withdrawal, loan and credit card payment, savings bond, check cashing, and other routine banking transactions. Maintained and handled a balance of the cash drawer.

Customer Relationship Management: Organizing, monitoring, and recording the clients’ accounts, working out payment plans with the clients.

Client Servicing: Effectively managed the customer relation operations and ensured maximum customer satisfaction and business excellence. Interacting & developing rapport with all external/internal constituents of client at all levels; for maximum client retention and achievement of revenues.

CAREER FEATURES

Uniden TX, April 2021-Present

Accounts Relievable Specialist ( Temp to Hire)

Access to Bank account and gather the current transaction.

Post the payments to NetSuite (checks, ach, and wire).

Apply the credits to the payments.

Apply Credit Cards transaction to NetSuite.

Update AR transaction to Excel sheet.

Assist in getting Credit Memos approved.

Create Credit Memos as needed

Obtain signatures of approval on bank deposits.

Scan approval forms into Laserfiche.

Assist in responding to Customers about account issues.

Parts Authority January 2019-July 2019

Senior Bookkeeper (TEMP)

Process invoices into the system (Sage) and code it to its appropriate account.

Communicate with vendors to resolve any issues identified as required.

Helen Keller National Center November 2018-December 2018

A/R Bookkeeper (TEMP)

Process American Express invoices into the system (Sage) and code it to its appropriate account.

Updated the Cash Receipts

Deposited the cash and checks to the bank.

Bank Reconciliation

United Capital Corporation (UCC) July 2016 to September 2018

Senior Bookkeeper

Process invoices into the system (Skyline) and code it to its appropriate account.

Processing weekly invoice payments as required.

Communicate with vendors to resolve any issues identified.

Ensure timely and accurate month-end closings.

Prepare daily, weekly and monthly cash reports.

Prepare a disbursement sheet of UCC activities for each month.

Assisted in processing 1099.

Accounts Receivable- process tenants’ payments and charges. Track payment status and follow up to ensure that payments are made.

Create invoices/bill backs for tenants.

Process payments for the estimated quarterly tax and annual tax.

First New York Securities - December 2012 to January 2014

Accounts Payable Specialist/ Bookkeeper Assistant

Accounts payable and expense control procedures including account reconciliation, disbursements, finance charges, billings, invoicing, chargebacks, rebates and preparation of daily bank deposits.

Enter invoices into the system (Oracle) and code it to its appropriate account.

Pay the bills, filed and organized the invoices.

Communicate with vendors by phone and e-mail to resolve any issues identified.

Follow through on timely and accurate month-end closings and financial reporting activities.

Collaborate extensively with the controller, provided in-depth assistance with projects.

Kaled Management Corporation – November 2006 to December 2012

Senior Accounts Payable/ Bookkeeper Assistant

Handle diversified accounts payable/receivable and expense control procedures including account reconciliation, disbursements, finance charges, billings, invoicing, chargebacks, rebates and preparation of daily bank deposits.

Enter invoices into the system and code it to its appropriate account.

Pay the bills every month accordingly.

Track company's (customer/client) expenditures, profit and loss, cash flow, and other financial activities

Communicate with vendors to resolve any issues identified/outstanding.

Distinguish efforts towards managing the complete accounting operations in the organization.

Accuracy and efficiency in workflow by maintaining the organizations record keeping.

Budget the cash inflow and cash outflow of the buildings.

Record in the accounting systems (BJ Murray) the incomes and expenses.

Follow through on timely and accurate month-end closings and financial reporting activities.

Enter payments into the system and preparing deposit slip for the bank.

Track the inflow and outflow of the cash.

Collaborate extensively with the controller, provided in-depth assistance with projects, assist in monthly financial statements.

Entered tax abatements, star, SCRIE, and veteran’s credits for the tenants.

Smolen and Smolen – October 2003 to August 2006

Senior Accounts Payable Accounting Clerk- Part Time Internship

Entered bank record to the system and made a general ledger.

Developed excellent interpersonal and time management skills.

Collated and entered tax returns, W-2’s, bank statements and payroll into database.

Handled all clerical duties, including receptionist, opening, and distributing mail to correct department.

Assisted the accountants in various business duties.

Created client’s disbursement books and prepare bank reconciliation.

Assisted in processing 1099

Independence Bank – March 2001 to September 2001

Bank Teller

Assisted clients in functions: checked cashing, deposits, saving deposits, and withdrawals.

Consignment item issuances (Cashier’s Checks, Travellers Checks, Money Orders), payment collecting.

Promotion of the financial institution’s products (loans, mortgages) and business referrals (Trust, Insurance, Lending).

Assisted customer with savings bonds purchase or redemption.

Resolved customer issues.

Balanced the vault, cash drawers.xi

Ordered products for the customer.

Managed the safe deposit room.

EDUCATION

Bachelor of Business Management Long Island University – 2006

Member, Association of Certified Anti-Money Laundering Specialists (ACAMS), 2018-Present

COMPUTER SKILLS

Operating Systems: All versions of Microsoft Windows

Applications: Entire MS Office Suite, BJ Murray, Oracle, Skyline, NetSuite



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