I’m a Bookkeeping and Reconciliation Specialist with 6+ years of experience supporting financial operations in high-volume, accuracy-critical environments.
My professional background is rooted in fund services, where I performed detailed transaction and balance reconciliations by comparing independent data sources (broker records vs internal accounting records). This required identifying discrepancies, investigating variances, validating transactions, and ensuring financial data integrity.
These reconciliation-intensive responsibilities directly translate into bookkeeping functions, particularly in bank reconciliations, transaction matching, expense validation, and general ledger accuracy.
I have hands-on experience working with:
• QuickBooks Online
• Xero (Level 2 Certified)
• Microsoft Excel / Google Sheets
Prior to corporate fund services, I served as lead accountant for a multi-branch retail business, managing full-cycle bookkeeping, inventory accounting, bank reconciliations, expense tracking, and book clean-up.
I specialize in maintaining clean financial records, detecting inconsistencies early, and resolving discrepancies efficiently.