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Title Information Technology Business Analyst
Target Location US-TX-Austin
Email Available with paid plan
Phone Available with paid plan
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Candidate's Name
Street Address  PHONE NUMBER AVAILABLE EMAIL AVAILABLE LinkedInPROFESSIONAL PROFILEHighly detail-oriented, analytical, self-motivated, perseverant, efficient, and organized with a strong academic background and extensive experience in both profit and non-profit organizations.EDUCATION AND CERTIFICATIONSSouthern New Hampshire UniversityPursuing a degree in accounting with a minor in Information Technology GPA: 3.97, 11 honor rolls, three president's certifications QUALIFICATIONS Foundations of ACCA certification AAT Certification in Accounting Technician AAT Certification in Intermediate Accounting Certification in AAT Foundation Accounting Certification in all modules of Access Accounting software Microsoft Word and Excel certification The West African Senior Secondary Certificate - WASSCE (equivalent to a high school diploma in the United States)SKILLS Fund E-Z QuickBooks Salesforce Access Accounting Sage Line 50 Microsoft applications: Excel, Word, Outlook, PowerPoint Tompro Asset Management AvidPayPROFESSIONAL EXPERIENCEBookkeeper Coalition for the HomelessNew York, NY May 2015  June 30, 2024 Demonstrated high levels of integrity and competency in assigned roles since 2015. Prepared reports for all financial transactions related to the Coalitions Scattered Site Housing program (SSHP) per HASA terms. Conducted monthly bank reconciliations for the Coalitions operating account. Reconciled credit card transactions. Processed and transported all cash receipts to the bank. Organized and deposited all check receipts that couldn't be banked internally via the Chase Banking Machine. Managed and distributed bi-weekly staff payroll checks to department heads. Handled administrative functions for the Finance Department, including documentation and filing. Processed and prepared billing for agencies assigned to the First Step Job Training program for interns. Executed additional duties assigned by the Chief Financial Officer and other Finance Department staff.Development Assistant Coalition for the Homeless New York, NY May 2014  December 2014 Assisted in achieving the Development Departments revenue-raising objectives through accurate and timely administrative tasks. Entered data in Salesforce and Raisers Edge. Created filing systems for major donor foundations. Collaborated with the Digital Media Director to ensure the new website was consistently updated using the Content Management System (CMS) and other digital functions. Received highest marks in mid/final program evaluation, earning all 1s and 1+s for exceeding expectations.Business Analyst III Financial Advisory/Consultation, Deloitte Gambia Gambia 2004  2013Clients: Air Senegal International, Gamcel, Master Plan Architecture & Design, Global Fund HIV/AIDS Project, Gamtel (Gambia Telecommunications), Port Authority of Gambia, ITC- International Trypanotolerance Centre Prepared monthly financial statements for Air Senegal International, contributing to a 20% increase in the companys bottom line over six years. Managed accounts receivable and payable for Global Fund HIV/AIDS Project and subsidiaries. Conducted daily cash reviews, invoicing, tracking receivables, allocating revenue, and processing checks for payment. Supported payroll processing with timely employee data provision. Monitored fixed assets and maintained records for annual depreciation. Conducted monthly reconciliation of all company accounts. Provided bookkeeping and accounting services, including funds accountability statements. Delivered consulting services, including accounting system assessments and client training.Business Analyst III Bureau Service & Client Support, Deloitte Gambia Clients: Air Senegal International, Gambia National Insurance, Alcatel, Gamco, Gamtel Provided overall client support and accounting consultation for national and international businesses in Gambia. Implemented and provided technical support for Access Accounts accounting software. Assisted clients accounting departments with transaction postings, bank reconciliations, and posting reviews.

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