Accounting professional with a strong background in cash and expense accounting, AP/AR, bank reconciliation, and month-end close, with hands-on experience preparing journal entries, reconciliations, and supporting financial reports. Demonstrated ability to identify and resolve discrepancies, meet deadlines, and maintain accurate financial records while handling sensitive financial data with discretion. Experienced with NetSuite, EPICOR, QuickBooks, and Advanced Excel, with remote work experience supporting a U.S.-based client.