1. Jennifer Moore
4337 Coffman Blvd.
Chesapeake, VA 23321
757-724-0861
Moorejx3@gmail.com
Professional Summary
As an experienced Accounting Coordinator, I am proficient in Accounts Payable.I excel in fast pace environments that
demand time and attention to detail. I am a very quick learner of various accounting software, as well as proficient in Excel
which allows me to be very organized and streamline my workload. I provide exceptional contributions to customer service for
all internal and external customers.You will find me to be well-spoken, energetic, confident, and personable, the type of
person on whom your management team counts on.
Core Skills
▪ Excel ▪ AP Trade ▪ Inventory ▪ADP
▪ Pivot Tables ▪ Payroll ▪ Cash Flow ▪ Sales and Use Tax
▪ Word ▪ A/P Direct Bill ▪ Petty Cash Reconciliation ▪ A/R
▪ PowerPoint ▪ General Ledger ▪ Sales Forecasting ▪ Payroll Taxes
▪ Outlook ▪ Journal Entries ▪ Banking Reconciliations ▪ W2’s
▪ Publisher ▪ 3 way match invoices ▪ AP Aging Reconciliations ▪ 1099’s
▪ Peachtree ▪ Timberline ▪ AS400 ▪ Tabware
▪ Paychecks ▪ QuickBooks ▪ Business Works ▪ Garnishments
▪ Payroll 500+ ▪ Vendor Records ▪ Employee Records ▪ Unemployment
SUMMARY OF QUALIFICATIONS
Wheelabrator Portsmouth Inc., Portsmouth, VA 23704 May 2014 – October 2015
Sole Accounting Coordinator
Verify 3 way match with purchase order, receiver ticket and invoice.
Monitors Tabware program for purchase orders and receiving issues as well as uncosted
Handles 300+ invoices valued at $1M on a monthly basis
Uses Great Plains to reconcile and maintain vendor/invoice relations
Reconciled and handled all adjustments to invoices with vendors
Imports Spreadsheets from 7 localities for reconciliation via SPSA
Uses SPSA information to update multiple Excel spreadsheets to maintain and tack different types of
Tonnage of 50K-70K monthly for AR Billing
Maintains and Reconciles all Trucking Invoices and issues
Maintains and Reconciles uncosted report and uses it to help reconcile purchases.
Update and maintain OpStats database for production volumes
Nitto Denko Automotive of VA Chesapeake, VA 23320 October 2012 –May 2014
Accounting Assistant
Handles Accounts Payable Trade monthly purchases of$1.7M to $2.0M
Processed roughly 800+ invoices on a monthly basis using BPCS software
3 way match with purchase order, receiver ticket and invoice.
Handles all Freight inbound and outbound of$200k monthly.
Handle all invoices for tooling purchases with 3 way match and charge cost to customers.
Monthly reconciliation of AP Aging of $2.8M or higher.
Handles uncosted report and uses it to help reconcile purchases.
Reconcile WIP and work closely with the Inventory Control/Warehouse Assistant Manager.
Maintain Premium Freight for incoming and outgoing freight.
Maintain and Reconciled Tooling account for correct purchase and follow thru of purchase
Cash Flow Management by monitoring cash balances.
Sales Forecasting for future month sales budget.
Process weekly checks and wire payments.
Updates Metric after each month end.
General Ledger reviews and narratives to financials
Streamlined and created online payments for Freight invoices to maintain 10 day due date
2. Jennifer Moore
4337 Coffman Blvd.
Chesapeake, VA 23321
757-724-0861
Moorejx3@gmail.com
Tidewater Auto Electric Inc., Virginia Beach, VA 23462 October 2010 – August 2102
Full Charge Bookkeeper
Process accounts payable invoices and petty cash reports
Maintain current vendorrecords
Reconcile and post all cash,checks, and credit card receipts
Complete sales and use tax returns
Maintain all accounting files for facility
Bank reconciliations
Maintained General Ledger and all journal entries
Financial Statements
Process payroll for 10+ employees
Make federal and state payroll tax deposits
Prepare quarterly and yearly payroll tax returns
Prepare year end W2’s and 1099s
Prepare, process and payout bonus on monthly basis
Maintain employees’ vacation and sick leave records
Process all voluntary or involuntary garnishments/court-ordered through payroll deductions
Responsible for monthly billing for company 401K, medical, dental and AFLAC
Maintained personal files
Ensured I-9 compliance
The Nicholson Companies, Norfolk, VA 23505 October 2006 – November 2009
Full Charge Bookkeeper, Payroll, Human Resources
Handled all aspects ofBookkeeping for 15-20 multi-site companies
Process large volume accounts payable invoices and petty cash reports
Maintain current vendorand subcontractorrecords
Process owner distributions as required
Reconcile and post all cash,checks, and credit card receipts
Complete sales and use tax returns
Maintain all accounting files for facilities
Research/explain transactions as requested by Owner and/or District Manager
Bank reconciliations for 30+ bank statements
Maintained General Ledger and all journal entries
Financial Statements
Process payroll for 500+ employees
Multi-state Web base payroll with direct deposit
Make federal and state(s)payroll tax deposits
Prepare quarterly and yearly payroll tax returns
Prepare year end W2’s and 1099s
Prepare, process and payout bonus on monthly basis
Maintain employees’ vacation and sick leave records
Process all voluntary or involuntary garnishments/court-ordered through payroll deductions
Responsible for monthly billing for company 401K, medical, dental and AFLAC
Maintained personal files
Ensured I-9 compliance
Assisted with yearly 5500 audit (401K)
Assisted with Worker Comp Claims
Answered all employment verifications
Assisted with daily Human Resources duties as assigned
Created an import for JobView accounting systemthat allowed for mass general ledger postings without all of the
time-consuming data entry.
3. Jennifer Moore
4337 Coffman Blvd.
Chesapeake, VA 23321
757-724-0861
Moorejx3@gmail.com
Systems Integration Group, Inc., Chesapeake, VA 23320 November 2004 – October 2005
Accountant
Verified, researched and paid 60+ IPAC’s daily for the USCG
Reconciled EPA accounts
Billing analysis
Government A/R Billing
Researched, organized and balanced the $89 million EPA AIG multi-year reconciliation project by working closely
with the accountants at EPA.
Organized and reconciled a project that dealt with the erroneous/duplication of over 250 billings from DFAS Charleston
that had to be identified and charged back
American Cemetery Supplies, Inc., Portsmouth, VA October 2003 – October 2004
Full Charge Bookkeeper
Process accounts payable invoices and petty cash reports
Maintain current vendorrecords
Reconcile A/R and post all cash,checks, and credit card receipts
Complete sales and use tax returns
Bank reconciliations
Maintained General Ledger and all journal entries
Process payroll for 20+ employees
Make federal and state payroll tax deposits
Prepare quarterly and yearly payroll tax returns
Prepare year end W2’s and 1099s
Maintain employees’ vacation and sick leave records
Process all voluntary or involuntary garnishments/court-ordered through payroll deductions
Responsible for monthly billing for company 401K, medical, dental and AFLAC
Maintained personal files
Ensured I-9 compliance
Computer Skills
Excel, Word, PowerPoint, Publisher, Outlook, Access
BPCS, Cougar Mountain,Peachtree, ADP, TIMS 2000, AS400, Business Works, Orders Plus, Timberline, JobView,
QuickBooks, Time Clock Plus, PayChex and various specialized programs
Accounting Software Coast Guard Finance Center: Oracle, WINS, Finance and Procurement Desktop, Facts and Figures
Quick, CGOF Reports, Milstrip
Accounting Software City of Norfolk: CYMA, AFIN, and BTI
EDUCATION
Graduate, Tidewater Community College- Associate in Science Degree- Business Administration May 2003
Emphasis in Accounting 201, Accounting 202 and Business Law I
Old Dominion University – BS Accounting August 2005
12 credit hours