Well-qualified financial systems leader offering demonstrated skill and success in managing internal accounting processes, improving controls and strengthening systems for optimal performance. Proficient in all aspects of accounting, including accounts payable and receivable, budget administration and payroll. Gifted in building and leading solid teams to handle high-volume operations with consistency, accuracy and full compliance with regulatory requirements. Accomplished financial management and accounting professional with more than 10 years of demonstrated positive impact company growth. Proven skill in employing accounting and financial management best practices and team leadership. Committed to introducing changes to achieve continuous improvement and successfully influencing processes driving operational excellence. Expertise in financial statement preparation and analysis, operational management, forecasting and cost control.
• Prepared tax returns, extensions, tax planning calculations, and write-ups
 
for organizations and entities.
 
• Analyzed financial records to verify accuracy of tax returns.
 
• Prepared tax returns for clients in various
 
industries according to government regulations
 
• Developed tax plans and projections to help clients meet objectives.
 
• Reviewed available data and compared against fax code to determine
 
exemptions, deductions, and potential liabilities.
• Completed bi-weekly payroll for company employees.
 
• Tracked business revenue and expenditures and reconciled accounts to maintain high accuracy.
 
•Developed and implemented various procedures to improve accounting process.
 
• Collaborated with other departments to achieve accurate and prompt financial reporting.
 
• Monitored budget allocation and expenditures to enforce compliance with company policies.
 
• Developed and maintained system of internal controls to prevent fraud and abuse.
 
• Generated monthly and quarterly financial statements for executive review.
 
• Prepared internal and regulatory financial reports, balance sheets and income statements.
 
• educated accounting team on forecasting, financial statuses and financial strategies to assist in annual budget creation.
 
• supported financial director with special projects and additional job duties.
 
• prepared cash flow projections, cost analysis and monthly, quarterly and annual reports.