Resumes
Resumes
Business Administrator
View pageLocation:
Litchfield, NH
Industry:
Accounting
Work:
Litchfield School District
Business Administrator
Sau 19 Jul 2014 - Jun 2017
Staff Accountant
Sau 19 Apr 2013 - Jun 2014
Accounting Clerk
Plodzik and Sanderson, P.a. Oct 2006 - Nov 2012
Staff Auditor
Business Administrator
Sau 19 Jul 2014 - Jun 2017
Staff Accountant
Sau 19 Apr 2013 - Jun 2014
Accounting Clerk
Plodzik and Sanderson, P.a. Oct 2006 - Nov 2012
Staff Auditor
Education:
Southern New Hampshire University 2015 - 2016
Keene State College 1996 - 2000
Bachelors, Bachelor of Science, Business Management, Accounting
Keene State College 1996 - 2000
Bachelors, Bachelor of Science, Business Management, Accounting
Skills:
General Ledger
Account Reconciliation
Bank Reconciliation
Journal Entries
Accounts Receivable
Financial Statements
Auditing
Payroll
Spreadsheets
Accounting
Accounts Payable
Financial Reporting
Account Reconciliation
Bank Reconciliation
Journal Entries
Accounts Receivable
Financial Statements
Auditing
Payroll
Spreadsheets
Accounting
Accounts Payable
Financial Reporting
Cory Izbicki Litchfield, NH
View pageWork:
Plodzik and Sanderson, Professional Association
Concord, NH
Oct 2006 to Nov 2012
Staff Auditor - Governmental Audit
ADP Retirement Services
Salem, NH
Feb 2001 to Oct 2006
Technical Plan Administrator
OSRAM Sylvania
Hillsborough, NH
Jun 2000 to Feb 2001
Accounting Intern - Cooperative Education Program through Keene State College
Concord, NH
Oct 2006 to Nov 2012
Staff Auditor - Governmental Audit
ADP Retirement Services
Salem, NH
Feb 2001 to Oct 2006
Technical Plan Administrator
OSRAM Sylvania
Hillsborough, NH
Jun 2000 to Feb 2001
Accounting Intern - Cooperative Education Program through Keene State College
Education:
Keene State College
Dec 2000
Bachelor of Science in Accounting
Dec 2000
Bachelor of Science in Accounting
Skills:
Employment Skills: Adaptability to changing technologies and environments. Experience with Microsoft Office, specifically Word, Excel and PowerPoint Preparation of working trial balances and financial statements and associated notes to financial statement disclosures in accordance with GAAP. Review, analysis and reconciliation of general ledger accounts.