At HEADS REALTY, I recorded financial transactions, prepared journal entries, and reconciled bank, credit card, and loan accounts. I also compiled monthly financial reports for management review.
I supported client service by requesting missing information and documents, onboarding new clients, and setting up their profiles.
At OVERFLOW VIRTUAL SERVICES, I handled bookkeeping for client accounts, including monthly reconciliations and review of financial reports to correct discrepancies. I also supported year-end tax preparation.
In my accounts payable role at OVERFLOW VIRTUAL SERVICES, I processed vendor invoices, reviewed reserve accounts, and prepared monthly financial packages with balance sheets and general ledgers.

