會(huì)計(jì)助理英文簡(jiǎn)歷

    時(shí)間:2024-02-14 08:33:16 英文簡(jiǎn)歷 我要投稿
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    會(huì)計(jì)助理英文簡(jiǎn)歷范文

      時(shí)間流逝得如此之快,找工作對(duì)于我們說(shuō)已越來(lái)越近,這時(shí)一份好的簡(jiǎn)歷可以起到很好的作用哦。那么如何寫(xiě)簡(jiǎn)歷才簡(jiǎn)練、明確呢?以下是小編為大家收集的會(huì)計(jì)助理英文簡(jiǎn)歷范文,希望對(duì)大家有所幫助。

    會(huì)計(jì)助理英文簡(jiǎn)歷范文

      Jim Johnson

      Houston, Texas

      Objective:

      An opportunity to obtain a treasury analyst position in a finance company that can allow me to apply my knowledge of accounting and finance.

      Education:

      Bachelor's Degree in Finance, University of Houston (1991)

      Master of Business Administration in Finance, University of Houston (1993)

      Special Knowledge, Abilities, Skills:

      Strong analytical skills to perform in depth financial analysis

      Strong accounting, negotiation, and influencing skills

      Ability in interface with senior levels of management internally and externally

      Strong knowledge of financial principles, treasury, and capital markets

      Proficient with MS Excel, Word and PowerPoint

      Excellent verbal and written communication skills

      Excellent customer service skills

      Professional Experience:

      Pfizer, Inc., Houston, TX (1997-Present)

      Senior Treasury Analyst

      Responsibilities:

      Performed analysis of all daily and non-daily financial treasury operations activities

      Participated in cross-functional finance projects as necessary

      Assisted in developing and performing treasury transactions according to personal goals, objectives and annual accountabilities

      Worked closely with business customers to identify, prioritize and document business requirements

      Performed treasury operational functions such as cash management, cash forecasting, interest rate monitoring and forecasting, capital funding and financial derivative analysis

      Prepared daily/monthly treasury journal entries and upload into SAP G/L System

      FMC Technologies, Houston, TX, (1993-1997)

      Treasury Analyst

      Responsibilities:

      Prepared internal treasury reporting

      Assisted with subsidiary capital structure management

      Analyzed operating procedures for the purpose of improving or replacing with more effective substitutes

      Assisted in the design, testing and implementation of new or enhanced information systems

      Assisted in the provision of operational and financial analysis of proposed new investments

      Produced monthly cash forecasts and developed improvements to the forecasting model

      Uploaded divisional financials reports, producing monthly financial package

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