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Staff Accountant Bank Reconciliation

Location:
Newnan, GA
Salary:
$15.00
Posted:
February 05, 2024

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Resume:

Sara D. Lanza

** *********** ********

Newnan, GA 30265

774-***-****

CAREER OBJECTIVE: Looking to obtain employment in a challenging administrative position that will utilize my education and past experiences to continue to grow professionally and increase my knowledge and experience.

Technical Ability:

Lotus 1-2-3, 5.0, Windows, Quickbooks, Microsoft excel, MAS90 and Solomon, ADP Payroll,

Education:

Cambridge College of Healthcare January 2015 – May 2017

Associates of Science Degree

Le Cordon Bleu College of Culinary Arts November 2012 – August 2014

Associates Degree in Culinary Science

Professional

OSMOSE UTILITY SERVICES/Peachtree City, GA May 2018 - PRESENT

Locator

Obtain and enter permit tickets for 811 call Center in different States

Provide telephone support

Create and maintain data through spreadsheets and databases

Generate maps through Streets and Trips

Record work progress through Smartsheet and trackers

Assists locators with locations of work area

Maintain good organization skills with files and data

CNI Steel/Cape Cod, MA Oct 2002 - Aug 2003

Contractor

Accounts Payables / Receivables

Bank Reconciliation

Community Connections, Inc./Yarmouth, MA Feb 2002 – Sept 2002

Account Payable/Payroll Accountant

Account Payables/Deposits

Payroll Processing

Bank Reconciliation

Thermo Ecotek Corporation/Waltham, MA Aug 1999 – Sept 2001

Office Manager / Staff Accountant and Payroll Manager

Account Payables

Daily and Weekly cash reporting

Company payroll

Employee benefits

Expense report reconciliation

Bank reconciliation

Office supply purchasing

CRI of New England/Boston, MA April 1998 – July 1999

Staff Accountant and Payroll Manager

Account payables

Account receivables

Company payroll

Employee benefits

Bank reconciliation

First Data Corporation/Boston, MA Dec 1989 – April 1998

Corporate Actions (May 1997 – April 1998)

Dividend reinvest and gain/loss tracking

Monthly dividend reinvest settlement and payout

Issuance of month-end payout letters

Control Department (November 1992 – May 1997)

Automated fund activity reconciliation

Fund settlement

Portfolio reporting

Quality Control (September 1991 – October 1992)

Trade compliance with legal requirements

CRT system trainer

Percentage of error reporting

Transaction Processing (December 1989 – September 1991)

Trade compliance with legal requirements

Preparation and input of transactions

Processing of purchases, liquidations and exchanges

IRA and 401K accounting



Contact this candidate