At Oceaneering International Services Ltd., I support month-end close by preparing revenue and cost journal entries, reconciling intercompany balances, reviewing general ledger accounts, and preparing revenue and cost schedules.
Previously, at Outsourcing Business Solution, I managed accounts receivable and payable functions, recorded daily transactions, prepared vendor aging reports, processed customer payments, and reconciled bank feeds. I bring over 4.5 years of accounting experience across financial reporting, reconciliations, and full-cycle accounting.
