Detailed Accounting Clerk with over 7 years of hands-on experience assisting with handling various accounting duties and procedures. Well-educated in reconciliation, bookkeeping and revenue recognition. Innovative collaborator focused on adding value through measurable outcomes.
Overview
6
6
years of professional experience
Work History
Junior Accounting Clerk
Caledonia Outdoor Advertising
Kingston
06.2022 - 06.2023
Communicated with vendors and clients to facilitate timely payments and reduce outstanding accounts payable.
Checked figures, postings and documents for correct entry, mathematical accuracy and proper codes.
Reconciled company credit cards, expense accounts and other expenses and financial records.
Assisted internal accounting team in checking financial statements for accuracy to produce reliable reports.
Reduced financial discrepancies by accurately managing accounting documentation.
Matched orders with invoices and recorded required information.
Monitored loans and accounts payable to confirm payments are current.
Auditor
Bakertilly
Kingston
03.2021 - 04.2022
Conducted audits on internal controls and developed reports on findings.
Composed clear and concise audit findings to deliver comprehensive audit reports.
Maintained confidentiality of company information obtained in audit assignments.
Worked closely with management to discuss external audit results and action plans.
Completed risk-based audits of key business processes to keep internal controls operating effectively.
Collected evidence for legal proceedings involving financial issues to support organization.
Junior Accounts Receivable Officer
Allied Protection Limited
Kingston
01.2017 - 03.2021
Facilitated payment of invoices due by sending bill reminders and contacting clients
Received and input receivables payments in compliance with internal financial procedures.
Performed day-to-day financial transactions, including verifying, classifying, computing, posting and recording accounts receivables' data.
Verified validity of account discrepancies by obtaining and investigating information from sales, trade promotions, customer service departments and from customers.
Resolved invalid or unauthorized deductions by following pending deductions procedures.
Reconciled or entered report discrepancies found in financial records.
Prepared bank deposits by verifying and balancing receipts and sending cash and checks to banks.
Education
Caribbean Advanced Proficiency Examination (CAPE) Unit 1 - Business Administration
Excelsior Community College
Kingston,Jamaica
12.2016
NVQJ- level 2 Business Administration Certificate, HEART (NTA) - Business Administration