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Rhejel T.

Bookkeeper/Junior Accountant

Verified
$5/hr

Outline

Looking for Full-Time work (8 hours/day) at $5/hour

Bachelor's Degree

English proficiency Fluent

Professional Summary

Certified Management Accountant Qualified (CMA) and Management Accounting graduate with professional experience in accounts payable, bookkeeping, and accounting operations supporting U.S.-based businesses. Experienced in invoice processing, vendor management, reconciliations, payment operations, financial reporting support, and process improvement. Proficient in QuickBooks, Xero, Excel, and familiar with ERP-based accounting workflows, with working knowledge of U.S. GAAP and IFRS.

Skills & Experience

Skills

Accounts Payable (AP) 6 Months to 1 Year
General Accounting 6 Months to 1 Year
Account Reconcilation 6 Months to 1 Year
Email & Calendar Management (Google Workspace, Outlook) 6 Months to 1 Year
Audit Documentation 6 Months to 1 Year
MS Excel 1-2 Years
Netsuite 6 Months to 1 Year
Vendor Management 6 Months to 1 Year
Accounting > Reconciliation 6 Months to 1 Year
US GAAP 2-5 Years
Month end closing 6 Months to 1 Year
Accounting > Accounts Payable>Bookkeeping>Quickbooks>Xero Less than 6 Months
IFRS 6 Months to 1 Year

Experience highlights

AP Lead (Officer-In-Charge)
GoTeam - Workplace Safety Screenings · January/2026 – Present
Processed and verified high-volume invoices. Reconciled transactions for healthcare vendors and credit card statements. Prepared month-end AP closing activities and supported cash flow management.
AP Analyst
GoTeam - Workplace Safety Screenings · January/2025 – Present
Ensured accuracy of posted bills and identified critical vendors. Coordinated subscription expense reviews. Created sales and use tax protocol for Texas compliance. Managed AP operations and payment negotiations.
Part-Time Management Service Advisor
MASS-SPECC Development Center · January/2024 – Present
Team Intern
Commission on Audit Region-X · January/2020 – Present
Created working papers for payroll audits and PPE reconciliation. Performed petty cash reconciliation and audit testing on opening balances from financial statements.
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