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| | Click here or scroll down to respond to this candidateCandidate's Name
Address: Brooklyn, NY Street Address
Phone: PHONE NUMBER AVAILABLE Email: EMAIL AVAILABLEFinancial Services AssociateSkill Areas: Calculations/Financial Analyses Financial Reports Basic Bookkeeping Accounts Payable/Receivable Account Reconciliation Regulatory Compliance Process Improvement Data Entry/Management Records Management Training Customer Service Problem-Solving Leadership Strong Interpersonal Skills Analytical Skills Client Relationship Management Communication Skills Record Supervision Administrative Support Reconciliation Reporting Email Handling Payment Processing Sales Handling MS Office Suite PeopleSoft Conflict Resolution Critical Thinking Organizational Skills Adaptability Collaboration SpreadsheetPROFESSIONAL EXPERIENCEMUFG Securities Americas Inc. (December 2021 December 2023)/Perform Full-Cycle Accounts Payable DutiesProcess wires in MUFG Exchange and Broadridge STM for both MUSA and MUSCAN suppliers weekly.Process employees' reimbursement for USD and CAD.Prepare the invoices pending PO report for the procurement department.Resolve suppliers' queries via email and phone.Ensure that data entered into the payment systems and tools are accurate to manage risks in AP.Assisted with month-end close by running the Accruals and the Duplicate Payment reports.Monitored the AP mailbox.Performed account reconcilation.Con Edison, New York, NY (Feb 2021 June 2021)Contractor [Remote Position]Monitored and tracked program leads and customer inquiries to complete conversions.Processed applications and invoices, Onboarding eligibility checks.Prepared & reviewed documents and reports for accuracy and document adjustment.External communications for program participantsBroadridge Financial Solutions, Jersey City, NJ (Nov 2017 Mar 2020)Accounts Receivable/Payable AssociateManaged Account Payable and Account Receivable DutiesResponsible for incoming wires and checks.Oversaw and maintained a tracker for all incoming and outgoing invoices.Evaluated and settled discrepancies and processed revised invoices.Executed required calculations and compiled sorted documents.Created and presented monthly statements to customers and collected overdue payments.Broadridge Financial Solutions, Jersey City, NJ (Oct 2001 Sep 2017)Associate, Operations Control DepartmentProcessed and reported daily weekly, and monthly reconciliation reports.Managed Data entry into various spreadsheets.Developed outgoing suspense reports, DTC S/R No name.PROFESSIONAL DEVELOPMENT & CREDENTIALSAssociate Degree in Business ManagementLong Business Institute, New York, NY Apr 2016-Jun 2018SkillsMS Office Suite (Excel,Word), Oracle, PeopleSoft |