Internship in Accounting and Auditing
- Facilitated month-end closing through preparation of journal entries and reconciliations.
- Calculated and issued checks for utilities, taxes, and operational payments.
- Recorded debit, credit, and account transactions in spreadsheets and databases.
- Delivered bookkeeping and accounting consulting services to enhance financial accuracy.
- Matched orders with invoices, ensuring accurate record-keeping.
- Reconciled computer reports with manually maintained ledgers regularly.
- Ensured alignment between subledgers and general ledger accounts through regular reconciliations.
- Conducted periodic audits of accounts payable and receivable to identify errors or inconsistencies.
- Worked with cross-functional teams to achieve goals.