Post Job Free

Resume

Sign in

Data Entry Accountant

Location:
Alexandria, VA, 22312
Posted:
May 02, 2022

Contact this candidate

Resume:

Ejersa T. Gebrehiwot 703-***-**** Alexandria, VA

adqx18@r.postjobfree.com 5708 Independence Circle

ACCOUNTANT

Account Reconciliation Fixed Asset Accounting Bank Reconciliations Data Entry Cost Point Cognos Impromptu Microsoft Office Suite Database Management Data Analysis Accomplished accounting professional with extensive experience preparing financial statements, account reconciliations, bank reconciliations, journal entries, fixed assets, and cost accounting. Skilled at analyzing information to identify areas of improvement designed to eliminate errors and provide timely and accurate information to management. Capable of handling multiple transactions and bank accounts while ensuring accuracy of information. Career Progression

General Dynamics Information / CSRA 2005 – 2021

ACCOUNTING ANALYST

Analyzed and reconciled general ledger accounts and processed adjusting and recurring entries. Gathered information to aid in executing customer and inter-company invoices. Generated monthly, quarterly, and annual general ledger account statements. Allocated costs to assets and booked assets with their costs to respective cost centers. Compared the monthly depreciation and disposals transactions. Produced monthly, quarterly, and ad-hoc reports for management. Key Accomplishments:

Resolved accounting issues such as accrued expenses, travel expenses, and credit card balances.

Reconciled monthly travel expenses, intercompany accounts, and balance sheet accounts.

Accomplished tasks on time by using Excel to facilitate reconciliations for 90+ accounts.

Saved time and achieved month-end processes on time by preparing prepaid accounts for amortization. Serco Group, Inc. 1998 – 2004

ACCOUNTANT

Managed 15+ bank accounts while collecting and analyzing bank provided data for accuracy. Aligned monthly credit cards with general ledger accounts and processed adjustments for differences. Processed end of month adjusting journal entries for prepayments and accruals. Entered assets into the fixed asset module and computed depreciation and disposal of assets. Maintained leased assets and payments and produced reports for management. Computed service center allocations and processed journal entries. Prepared schedules for external auditors and supported the audit process. Key Accomplishments:

Reconciled bank data to book records by verifying and correcting bank originated errors worth $200K+ in a timely and efficient manner.

Ensured accuracy of a travel account with an unreconciled balance of $93K.

Researched and identified a $1.5M difference in account reconciliation and advised management. Additional Experience: Manager – Finance & Administration (AKIR General Contractors), Finance Manager (Dil Paint Factory), Cost and Budget Head (Gulele Soap Factory)

Education

BBA IN ACCOUNTING, ADDIS ABABA UNIVERSITY, ETHIOPIA AA IN ENGLISH, COLLEGE OF TEACHER EDUCATION, ADDIS ABABA, ETHIOPIA CPA CANDIDATE IN VIRGINIA



Contact this candidate