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PHONE NUMBER AVAILABLEEMAIL AVAILABLEProfessional Experience:NYC Health & Hospitals, New York NY (Remote) Dec 2021-Present Payroll Specialist II/Timekeeper Mainframe Timekeeping Maintain and correct timekeeping data. Prepare timekeeping adjustments for payroll processing. Coordinate timekeeping issues resolution with payroll customer service team. Review and process uniform allowance, workers comp calculations and union based prevailing rates. Process garnishments, calculate and process welfare fund/annuities/union dues, prepare reports for internal and external audits, prepare lump sum calculations, administer transit benefits Responsible for ensuring that clients are billed correctly during payroll processing. Perform a wide variety of record keeping and payroll processing activities, including computing wage and overtime payments, calculating and updating payroll deductions, processing requests for off-cycle payments, and processing terminal payments Maintain payroll-related records, filing tax reports, preparing accounting transactions and documents, and preparing reports and payroll-related calculations STARPAY., Melville, NY July 2021-October 2021Payroll Specialist Process payroll for clients Working with clients to ensure the payroll process is a memorable one Assist clients with over-the-phone and email support on use of payroll and HR products, payroll questions, and general issues Responsible for ensuring that clients are billed correctly during payroll processing CONTRACT PHARMACEUTICAL CORP., Hauppauge, NY October 2020-December 2020 Line Technician (Temp Position) Performs packaging and facilities repairs with minimal supervision Interprets blueprints and schematics Diagnose/troubleshoot malfunctions with minimal guidance Operate all equipment in a safe and efficient manner Maintain equipment in a neat and clean fashion Operate, set-up, change over and make minor repairs to various packaging equipment NATURES BOUNTY Bohemia, NY April 2020 - October 2020 Line Technician (Temp Position) Cultivate stellar relationships with our dealerships Operate, set-up, change over and make minor repairs to various packaging equipment Ensures the packaging line is running at its maximum potential during a job run Follows all procedures set forth in the set-up procedures Assists the line attendants and mechanics Effectively completing appropriate paperwork Maintains a clean and orderly work area; cleaning and sanitizing operating equipment Troubleshoot rapidly and effectively to ensure minimal line downtime Work and coordinate with packaging team and support groups CAPITAL ONE Melville, NY May 2019 October 2019Relationship Manager in Auto Finance Cultivate stellar relationships with our dealerships Optimize communication skills by creating strategic deals and goals with dealerships over the phone Review the structure in underwriting for COAF Guide the deals in house for funding Analyze territory production goals Partner successfully with peers and teammates to efficiently achieve operational alignment and mutual objectives EVO PAYMENTS INTERNATIONAL Melville, NY August 2011 May 2019 Sr. Relationship Manager EPSG Provided sales management support for daily business operations to 40+ Independent Sale Operators (ISO) servicing hundreds of Merchants across the United States Conducted 3-5 weekly live webinar trainings for ISOs on EPSGs Best in Class account acquisition process flow, how to price a merchant, understanding Visa, Mastercard, Discover, Amex Complaint guidelines and regulations Implemented team in-field trainings to strengthen ISO/Merchant relationships which increased ISOs productivity by 30 percent Prepare and reconcile residual income and bonus reports along with Chargeback disputes Assist ISOs with tech support, file builds, terminal deployment, merchant pricing, proposal assessments and residual inquiriesJunior Accountant/Staff Accountant-Treasury June 2007 August 2011 Transitioned the Cash Management Department in the acquisition of a Canadian partner by collaborating with the Canadian Accountant to convert cash account tracking systems to Canadian currency Customized the account payments plan process for the Canadian office with an online currency converter Processed bank reconciliations for 20 different cash accounts in excess of $100 million Calculated and processed over 36 region residual wire payments through online banking system Recorded journal entries of cash flow to multiple GL accounts, fixed assets, account additions and depreciations Assisted in the year-- end preparation and filing of the departments 1099-Misc Income Accounting Clerk August 2004 June 2007 Managed disbursement accounts for 300+ ISOs in the Leasing Subsidiary Department by conducting in depth account analysis to ensure accurate debits & credits Streamlined the departments various finance functions by creating and implementing a digital disbursement and chargeback tracking system Maintained the digital tracking systems up-to date to withstand ISOs account acquisitions Processed hundreds of accounts payable transactions on a weekly basis using various online banking systems EDUCATION Harbor Fields HS - 1999 Graduate HS Diploma Nassau Community College - 2002 ABA in business Administration Farmingdale State College - Major in Accounting 36 Credits- Unfinished SKILLS Microsoft Office Products: Excel, Outlook, Access, Word, QuickBooks, Pivot tables Accounting: Great Plains Project Accounting System, LeaseWorks, FinancialForce Systems: Midas Beacon, Salesforce, Onboard, Epic Next Gen, A360, E360, EDS, GLOBAL, Merchant Foundry, Trustwave Portal. TPS, First Data, Paymentech, Vital, Apriva, GSAP, Omaha, Nashville. Talentwise, I-Contact iSystems/Asure and Evolution product |