MASAE JOHNSON
Palmdale, CA ***** 424-***-**** **************@*****.***
Seasoned Accounting Manager specializing in implementing successful accounting systems for Travel agencies Accomplished in driving business efficiency and compliance initiatives. Offering 30 years of progressive experience.
Payment Collection
Project Management
Staff Management
Funds Allocation
Bank account reconciliations
Closing procedures
Invoicing
Month-end reporting
Tax law knowledge
Process Management
Audits
Accounting Manager, 12/1999 - 08/2017
WINGMATE ALTOUR – Los Angeles, CA
Implemented and regularly reviewed financial controls to generate accurate and reliable financial data. Analyzed business processes to identify cost savings and operational efficiencies. Established internal audit procedures to validate and improve accuracy of financial reporting. Utilized financial software to prepare consolidated financial statements. Created and maintained financial databases for data entry, tracking and reporting. Investigated daily variances and corrected errors to resolve discrepancies. Created and managed financial models to evaluate corporate investments and acquisitions. Improved overall financial reporting by streamlining control processes and reporting structures. Supported financial director with special projects and additional job duties. Developed strategic plans for day-to-day financial operations. Performed banking, business administration and financial tasks to guarantee five-star service for clients. Checked payroll, vendor payments, commissions and other accounting disbursements for accuracy and compliance.
Collaborated with other departments to achieve accurate and prompt financial reporting. Analyzed and reported on financial data to support business decisions. Complied with established internal controls and policies. Conducted financial due diligence on potential investments and acquisitions. PROFESSIONAL SUMMARY
SKILLS
WORK HISTORY
Developed and implemented various procedures to improve accounting process. Prepared internal and regulatory financial reports, balance sheets and income statements. Evaluated and negotiated contracts to procure favorable financial terms. Managed banking reconciliations and monthly balance sheet statements. Generated monthly and quarterly financial statements for executive review. Established and checked coding procedures, monitored reports and updated internal files. GED: 05/1988
Pasadena City College - Pasadena, CA
Japanese
Native or Bilingual
EDUCATION
LANGUAGES