Diligent accounting professional actively pursuing opportunity to apply superior account reconciliation skill and passion for continuous improvement. Bringing 25+ years of excellent performance in Accounting Manager roles, including commendation for providing consistent empowering leadership.
Overview
13
13
years of professional experience
6
6
years of post-secondary education
Work history
Accounts Manager
JGB Steelcraft (UK) Limited
Glasgow
05.2016 - Current
Collaborated with purchasing department to reconcile supplier invoices and facilitate payments.
Supervised accounting department operations and team of up to 5 employees.
Prepared monthly reports, including payment and account reconciliations and financial statements.
Developed process improvements to increase efficiency and productivity and presented to management for approval.
Improved overall process for year-end stock control
Mitigated accounting risks through by identifying and improving process inefficiencies.
Created seasonal sales plans with varying stock and promotional strategies.
Established clear budgets with sound controls to keep business operating with optimum finances.
Leveraged strong working knowledge of products and systems within various industries
Followed industry trends and set pricing strategies to maximise business returns.
Maintained detailed and current records of stock, personnel activities and business finances.
Managed stock within set minimum and maximum levels to serve customers without over-extending finances.
Accounts Manager
Whitehouse Apartments
Glasgow
08.2010 - 05.2016
Collaborated with purchasing department to reconcile vendor invoices and facilitate payments.
Supervised accounting department operations and team of up to [Number] employees.
Managed payroll operations for team of [Number] employees.
Prepared monthly reports, including payment and account reconciliations and financial statements.
Analyses monthly reporting to reconcile production operations and general ledger.
Accurately documented all cash, credit, fixed assets, accrued expenses and line of credit transactions.
Reconciled accounts from income and expense data to net worth and assets.
Prepared VAT and income tax forms for commercial and individual clients.
Set up and improved accounting systems and processes to meet business needs and maximise effectiveness of operations.
Managed entire accounting cycle from data collection and analysis to HMRC lodgement.
Created periodic reports comparing budgeted costs to actual costs.