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Title General Accounting Customer Service
Target Location US-FL-Orlando
Email Available with paid plan
Phone Available with paid plan
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Candidate's Name
Orlando, United States Street Address
PHONE NUMBER AVAILABLE  EMAIL AVAILABLEProfessional SummaryCustomer Services, General Accounting, Tax preparation of Personal, Corporate Taxes, Partnership Taxes, Tax Planning, Tax Audit, Payroll, Audit Payroll, Invoicing and General accounting functions.SkillsGeneral AccountingCustomer ServiceInvoiceA/PA/RTaxesAccount ReconciliationWork, Excel, Power PointInvoicesBank ReconciliationBookkeepingQuickBooksPayrollCash FlowBilingual (English / Spanish)Intuit QuickBooksWork History01/2023 to Present: Accounting and TaxesProfessional Stall Cleaning, LLC (West palm Beach, FL)*General Accounting* Reconciliation: Credit Cards Reconciliation, Bank Reconciliation*Account Payable*Accountant Receivable*Payroll and 1099s*Taxes: 1040, 1120S, Schedule C, Schedule EProfessional X Terminator, LLC (West Pal, Beach, FL)*General Accounting*Account Payable*Accountant Receivable*Payroll and 1099* Taxes: 1040, 1120S, Schedule C, Schedule E* Sales TaxesCity Pool and Resurface, INC (Hollywood, FL)*General Accounting* Corporate Taxes and Personal Taxes: 1040, 1120S, Schedule C, Schedule E09/2012 to 05/2020AM INTERNATIONAL SOLUTIONS INC  Newburgh, NY.Handled day-to-day accounting processes to drive financial accuracy.Created budgets and forecasts for management group to meet regular accounting deadlines.Conducted technical and analytical reviews of tax returns to check for accuracy and qualified deductions.Maintained up-to-date knowledge on professional accounting standards to manage financial recordkeeping.Tracked financial progress by creating quarterly and yearly balance sheets.Gathered data on taxable income, deductibles and allowances for tax preparation.Prepared and filed tax forms to meet needs of customers.Documented cash, credit, fixed assets, accrued expenses and line of credit transactions.Reconciled accounts and reviewed expense data, net worth and assets.Partnered with auditors to track errors and add contributions to maintain accuracy.Completed daily cash functions like account tracking, payroll and wage allocations, budgeting, donating and cash and banking reconciliations.Detected and corrected mistakes early on and implemented systems to avoid recurring issues.Sales TaxesBank StatementsPrepared cash flow projections, cost analysis and monthly, quarterly and annual reports.Complied with established internal controls and policies.Prepare or assist in preparing simple to complex tax returns for Individuals including all Schedules C, Schedule E, Schedule A.Prepare Form 1040NRCorporate Tax returns 1120, 1120S, & 1065.Double Check and Review returns prepared by other preparers for accuracy and complianceReview and Scan all income statements and documentation of expenditures in order to determine forms needed to properly prepare tax returns.Use firm established procedures to find and utilize all appropriate adjustments, deductions, and credits.Daily review and monitoring of cash operating transaction reconciling with bank activities and balances.Weekly cash position reporting.Processing returned items, deposit corrections and NSF transactions in the policy processing system.Deposit processing.Daily ACH reconciliations.Daily review and processing of AR reports provided by the company banking partners.Preparing and executing the weekly payment process across multiple entities.Maintain compliance with all cash operations policies, procedures, and controls.Support of other cash & treasury functions as neededMaintaining bank reconciliation support and performing daily review of all company bank accountsAssist in preparation of cash position statements and cash flow forecasts.Stop payments and Positive Pay issues/cancellations.IRS registration since 2008 (PTIN)Education202311/2005MLO Course - Gold Coast SchoolAdministration And Accountant Degree: Administration And AccountantPanama of University - Panama, Republic Of Panama

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