I am an experienced online marketing assistant with a strong background in Bookkeeping. My expertise covers a wide range of digital marketing tasks, including:Identifying source documentsCreating sales journalsMaintaining purchase receipt journalsManaging cash receipts and disbursements journalsHandling General Journal entries, including receiving reports, adjusting entries, and closing entriesPosting transactions, including entering beginning balances, maintaining the General Ledger from cash to expenses, and managing Subsidiary Ledgers for Accounts Receivable and Accounts PayablePreparing Worksheets and Financial Statements, such as Trial Balances, Adjustments, Comprehensive Income statements, and Balance SheetsGenerating separate documents for Income Statements and Balance SheetsCompiling Cash Flow Statements to track cash inflows and outflowsCompleting Post-Closing Trial Balances.Additionally, I excel in English language comprehension and proficiently manage data entry using Google Docs and Spreadsheets. I am also skilled in organizing files and scheduling appointments using Dropbox, Google Drive, and Google Calendar, facilitating communication with internal and external clients via
Experience: Less than 6 months
Identifying source documents Creating sales journals Maintaining purchase receipt journals Managing cash receipts and disbursements journals Handling General Journal entries, including receiving reports, adjusting entries, and closing entries Posting transactions, including entering beginning balances, maintaining the General Ledger from cash to expenses, and managing Subsidiary Ledgers for Accounts Receivable and Accounts Payable Preparing Worksheets and Financial Statements, such as Trial Balances, Adjustments, Comprehensive Income statements, and Balance Sheets Generating separate documents for Income Statements and Balance Sheets Compiling Cash Flow Statements to track cash inflows and outflows Completing Post-Closing Trial Balances.
Experience: 6 months - 1 year
Identifying source documents Creating sales journals Maintaining purchase receipt journals Managing cash receipts and disbursements journals Handling General Journal entries, including receiving reports, adjusting entries, and closing entries Posting transactions, including entering beginning balances, maintaining the General Ledger from cash to expenses, and managing Subsidiary Ledgers for Accounts Receivable and Accounts Payable Preparing Worksheets and Financial Statements, such as Trial Balances, Adjustments, Comprehensive Income statements, and Balance Sheets Generating separate documents for Income Statements and Balance Sheets Compiling Cash Flow Statements to track cash inflows and outflows Completing Post-Closing Trial Balances.
“I had this VA that I could turn things over to made it a lot easier”
Kyle Mckenna
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