Director of Operations
Senior Vice President
Chief Financial Officer
Chief Operating Officer
Lauren Simonson - Account Manager Resume Simple
A highly motivated, results-oriented, and detail-oriented accounting professional with a verifiable record of accomplishment spanning over 15 years of experience in the areas of accounting, finance, and financial management.
payroll, closing, distribution, manager, reports, balance sheet, reconciliations, controller, finance, accounting, financial reports, accounts payable, financial analysis, analysis
balance sheet, reconciliations, liaison, journal, budget, litigation, tax, cash
Manage the Finance department, including the preparation of monthly financial reports, month end closing, account reconciliations, and the distribution of the financial statements to the Controller.
Manage all aspects of accounting including accounts payable, payroll, balance sheet and income statement preparation. Supervise staff of three.
Perform financial analysis and present to the Manager and CFO. Review and analyze monthly financial results. Prepare and present monthly financial reports to the Board of Directors.
Assisted in the preparation of the annual budget and quarterly forecasts. Provided financial analysis and advice to the Board of Directors.
Ensure that all financial and operational information is accurately reported and reported. Monitor and report on the status of the projects.
Analyze and reconcile monthly bank statements and prepare journal entries. Maintain general ledger and sub-ledgers. Review and approve all accounts payable invoices.
Loyola University New Orleans
Performed monthly balance sheet reconciliations, including cash and accrual journal entry. Created and maintained a database for all the related accounts.
Liaison between the accounting department and the state of Texas, Colorado, Illinois, Oregon, Arizona, and California.
Coordinate with external auditors, tax consultants, and other regulatory agencies, including litigation, budget and contract. Assist in the preparation of the annual operating plan.
Assist in the preparation of monthly financial statements and supporting schedules. Provide support to the accounting team in the month end close process.
Reconcile and analyze monthly balance sheet accounts and prepare journal entries. Assist in the preparation of the financial statements.
Performed monthly bank reconciliations for all accounts and prepared journal entries for month end close. Analyzed and reconciled intercompany accounts.
Lakeland Bancorp, Inc.