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Hire Tricia

Location:
Simi Valley, CA, 93065
Posted:
March 21, 2008

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Resume:

Frances P. Neahusan

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

Simi Valley, CA, 93065

Phone: 805-***-****

Email: em6xbb@r.postjobfree.com

OBJECTIVE

: To further enhance my accounting career by implementing the skills and knowledge I possess and learning new skills required to keep up with this ever-changing field.

QUALIFICATIONS

I possess strong skills in the area of account reconciliation, bank reconciliation and general ledger transactions. I have more than 8 years experience with account reconciliation and general ledger transactions and more than 13 years of experience with bank reconciliation.

I have experience with month-end closing journals, including researching and organizing data to complete journals. I also have experience with fixed assets.

Computer skills include knowledge and daily use of Microsoft Excel, Word, IMIS (membership database) and Great Plains.

I take pride in my work and hold myself personally accountable for projects and responsibilities in my charge.

EDUCATION

1996

Bachelor of Science in Business, University of Phoenix

1989

Associate Degree in Accounting, Rick's College

EMPLOYMENT

2000-2005 Staff Accountant, California Restaurant Association

Hired from a temp-to-hire position to maintain bank balances, process membership payments in IMIS and Great Plains, reconcile monthly bank statements, month-end journal entries, and fixed assets, including calculating depreciation expense, and maintaining the accumulated depreciation GL account. Cross trained on A/P & A/R.

1997-2000 Staff Accountant, Slakey Brothers, Inc.

Maintained the position of Staff Accountant, which was created just for me based on my skills and strengths. Duties included balancing reports, bank reconciliations, account reconciliations, month-end journal entries and other projects and duties as assigned by management. Cross trained on A/P.

1989-1996 C/R clerk and Policy coder, Farmers Insurance

Hired on as a C/R Clerk where my duties included processing daily cash, bad checks, bank-out-of-balances, and bank reconciliations. Later promoted to Policy Coder, where my duties included maintaining customer accounts from opening to closure, including changes in customer policies, cancellation of policies, and the associated calculations involved in all of my required tasks.



Contact this candidate