Detail-oriented bookkeeper with expertise in accounts payable, payroll administration, and regulatory compliance. Proven ability to maintain accurate financial records and prepare comprehensive financial statements, ensuring operational efficiency.
Overview
37
37
years of professional experience
Work History
Bookkeeper
Alstonville Tree Felling
Alstonville
07.2000 - 07.2021
Maintained accurate records of accounts payable and receivable.
Prepared monthly bank reconciliations to ensure financial accuracy.
Processed payroll for employees while ensuring compliance with regulations.
Processed accounts payable and receivable transactions.
Performed basic accounting, payroll and bookkeeping services to manage business operations.
Conducted monthly bank reconciliations.
Generated invoices for clients and tracked payments received from customers.
Prepared financial statements, including balance sheets, income statements, and statement of cash flows.
Bookkeeper
North Coast Wholesale Cars
Lismore
08.2013 - 08.2014
Managed daily financial transactions for automotive dealership operations.
Maintained accurate records of accounts payable and receivable.
Prepared monthly bank reconciliations to ensure financial accuracy.
Processed payroll for employees while ensuring compliance with regulations.
Processed accounts payable and receivable transactions.
Barista
McDonald’s
Lismore
03.2005 - 04.2006
Prepared and served a variety of coffee beverages and food items.
Provided excellent customer service by greeting and assisting guests promptly.
Followed safety and sanitation guidelines to ensure food quality standards were met.
Receptionist
Ours Amazon Trading
Federal
06.1999 - 02.2004
Answered phone calls, addressed inquiries, and directed calls to appropriate staff.
Performed data entry tasks into various computer systems accurately and promptly.
Processed payments and updated accounts to reflect balance changes.
Bank Teller
ANZ
Ballarat, VIC
01.1985 - 07.1996
Processed customer transactions accurately and efficiently.
Assisted customers with inquiries and account management.
Handled large sums of money with accuracy while maintaining appropriate levels of security.
Performed cash handling duties including counting currency, coins and checks.