Eugene Santellan: Staff Accountant/Inventory Control Manager in Whittier, CA

Eugene Santellan

Staff Accountant/Inventory Control Manager
Whittier | United States
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Work experience
Image Edgebanding Services Inc.

Edgebanding Services Inc.

Staff Accountant/Inventory Control Manager | 12/2014 - Current

- Analyze accounts and prepare enter journal entries - Reconcile Balance sheet accounts - Prepare monthly and quarterly sales taxes for multiple states - Assist with accounts payable and receivables - Create and monitor controls for inventory management
Image Diamond Wireless

Diamond Wireless

Senior Accountant | 03/2014 - 11/2014

- Prepared journal entries - Reconciled balance sheet accounts - Accounts Payables - Maintained vendor agings. - Performed monthly inventory reconciliations - Prepared, examined and analyzed accounting records, financial statements, or other financial reports to assess accuracy, completeness, and conformance to reporting and procedural standards. - Developed, implement, modify and document record keeping and accounting systems. - Created workbooks and spreadsheets as needed by management
Image Sysco Intermountain Inc.

Sysco Intermountain Inc.

Staff Accountant | 11/2011 - 10/2013

- Completed assigned quarterly Sarbanes Oxley testing. - Conducted monthly contract compliance audits. - Prepared journal entries and balance sheet reconciliations. - Composed Legal Binding contracts between Sysco and its customers. - Work with District Sales Managers with processing pricing requests.
Image United States Property & Fiscal Office

United States Property & Fiscal Office

Financial Technician | 06/2010 - 05/2011

- Maintained module for Foreign Language Proficiency bonus payment. - Researched government travel and pay regulations to insure accurate disbursements. - Training for new employees for Military payment process.
Image Water & Power Technologies

Water & Power Technologies

Staff Accountant | 02/2008 - 07/2009

- Managed acquisition and disposal of fixed assets. - Performed physical counts and reconciled physical inventory counts. - Prepared journal entries and reconciled assigned balance sheet accounts. - Managed capital expenditure budget for multiple departments and business sections. - Assisted external auditors with financial and sales tax audit requests.
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