At Tipalti, I manage accounting activities supporting revenue operations in a global fintech SaaS organization. I review customer contracts and billing data, prepare journal entries, and support month-end close across multiple legal entities.
I also process invoice adjustments and credit memos, investigate discrepancies, and produce management reports. I support NetSuite financial processing and improve accounting workflows through automation and process improvements.
At Xploy solutions, I managed full-cycle accounts payable and receivable for U.S.-based clients. I processed supplier invoices using QuickBooks and Bill.com, completed bank and credit card reconciliations, and assisted with month-end close and financial reports.
Earlier, I prepared journal entries, maintained General Ledger records, and supported reconciliations and month-end close at Waritex. At Ghaliounguitrading LTD, I processed customer payments and reconciled receivables; I also managed operational and financial data at PTA Industrial Equipment.

