I am Jimena Alvarado Álvarez, an Accounting and Finance Technician currently working as an Accounting Assistant at Elvatron in San José, Costa Rica. I have gained valuable experience in accounting through various roles, including internships and receptionist positions, which have helped me develop a well-rounded skill set in finance and customer service. My responsibilities have ranged from accounts payable invoicing and payroll support to managing fixed assets and conducting audits.
Throughout my career, I have demonstrated strong organizational skills by maintaining document filing systems and supporting accounting departments with invoicing, inventory records, and financial statements. I am proficient in handling bank reconciliations and travel expense settlements, and I also support building maintenance activities.
I am currently pursuing a Diploma in Accounting and Finance at Universidad Técnica Nacional (UTN), which complements my technical background and practical experience. I also hold a High School Diploma and a qualification as an Accounting and Finance Technician from CTP Jesús Ocaña Rojas.
My technical skills include proficiency in Excel, Word, PowerPoint, and Power BI, which I use to enhance reporting and data analysis in my accounting tasks. I am also developing my English language skills, currently at an A2 level.
I am a responsible and initiative-driven professional who values teamwork and effective communication. I am eager to continue growing in the accounting and finance field, contributing to organizational success through diligent financial management and support.
Accounts payable invoicing and payroll support in Human Resources.
Welcoming clients, visitors, and suppliers; assisting internal and external customers; directing visitors to the appropriate department; answering and receiving phone calls; processing credit notes; supporting the accounting department; and maintaining document filing systems.
Fixed assets management, petty cash audits, company vehicle and truck audits and preventive maintenance, random and tax inventory counts, invoicing, inventory consumption records, legal accounting books, travel expense settlements, financial statements, bank reconciliations, and building maintenance support.
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