Accounting & Finance Virtual Assistant

READY TO DELIVER.

I'm Pauline — an Accounting Analyst turned VA with 3+ years of hands-on experience in bookkeeping, reconciliation, AP/AR, and financial reporting. I bring corporate-level precision to remote work.

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01 — About Me

Detail-Driven.
Results-Oriented.

A corporate Accounting Analyst with 3+ years of experience, now bringing that same standard of precision and reliability to remote VA work.

Pauline Lucena

I spent 3+ years as an Accounting Analyst in a corporate setting, handling bank reconciliations, AP/AR processing, payroll support, and monthly financial reporting across high-volume transaction environments.

I'm now transitioning into remote VA work — bringing the same discipline, accuracy, and accountability I built in corporate accounting to a fast-paced, distributed team. I know how to operate independently, meet deadlines without follow-up, and keep financial records clean under pressure.

What I bring to a team:
Zero-error reconciliation habits, strong working knowledge of NetSuite, QuickBooks, Xero, and Excel, and a work ethic shaped by corporate close cycles — where accuracy isn't optional.

I'm looking for a role where I can contribute meaningfully from day one — no ramp-up theater, just reliable execution.

3+
Yrs Experience
100%
% Reconciliation Accuracy
15+
Tools Mastered
Financial Reporting
Accurate, structured reports delivered on time. From basic P&L to expense summaries — formatted and ready for review.
Bank Reconciliation
Every transaction matched, every discrepancy caught. Clean books you can actually trust — month after month.
Admin & Communications
Email management, calendar coordination, client follow-ups, and document organization — handled professionally.
Data Accuracy Focus
Corporate accounting trains you to be precise. I bring that same standard of quality to every spreadsheet, entry, and report.
02 — Core Skills

What I Can
Handle For You.

Hands-on experience across accounting, finance admin, and client operations — built in a corporate environment and ready to apply remotely.

Accounting Support
  • Invoicing & Billing
  • Bank Reconciliation
  • Receipt Management
  • Invoice Creation & Delivery
  • Payment Tracking & Follow-ups
  • Bill Logging & Scheduling
  • Expense Report Compilation
  • Generating Basic Reports
  • Data Entry & Clean-up
Client Communication
  • Collection & Payment Follow-up Emails
  • Sending Reports to Stakeholders
  • Professional Email Correspondence
  • Basic Email Support
General Admin Support
  • Data Entry
  • Data Research
  • File Organization
  • Calendar Management
  • Email Management

How I Work.

My approach to every engagement — structured, transparent, and built to reduce the back-and-forth your team shouldn't have to manage.

01 // STEP

Discovery Session

We map your existing daily admin workflows, highlight spreadsheet friction, and isolate financial/reconciliation task lists. We find the high-impact bottlenecks we can solve immediately.

02 // STEP

Operational Diagnostic

I outline a custom task assignment, defining accurate communication cadence, system login requirements, delivery timelines, and monthly allocated hours so you have complete visibility.

03 // STEP

Secure System Onboarding

We configure encrypted system delegations and sandbox environment linkages. Utilizing strict protocols, we maintain absolute file confidentiality and protect client ledger security.

04 // STEP

Seamless Execution

I assume absolute daily ownership of matching statements, generating billing packets, chasing open payments, and executing administrative items so you stay completely clear.

05 // STEP

Continuous Optimization

We review progress periodically to introduce speed improvements, create automated dashboard alerts, compile operating manuals, and save you more structural hours week-on-week.

Want the full picture?

PDF · Updated 2026 · Includes full work history

03 — Tools & Systems

Platforms I
Know Well.

Enterprise-level accounting software experience combined with everyday productivity tools — ready to plug into your stack from day one.

NetSuiteExperienced ERP
QuickbooksAccounting Software
XeroAccounting Software
FloqastClose Workflow
ExcelLOOKUPs & More
Google WSWorkspace
Office 365Microsoft Suite
OutlookEmail
GmailEmail
SlackCollaboration
MS TeamsCollaboration
Google DocsDocuments
CalendlyScheduling
ChatGPTAI Assistant
Claude AIAI Assistant
04 — Methodology & Case Studies

Project
Showcases.

Real-world accounting & finance case studies structured with a rigorous Problem–Action–Result (PAR) methodology.

AP/AR Case Study
100% Reconciled
Month-End AP/AR Cleanup & Close
Outcome: Zero open items at close
[P] Problem

A month-end ledger had 14 unclassified transactions and 6 bills with no matching PO or receipt, leaving the close checklist at 40% complete two days before deadline.

[A] Action Taken

Mapped every entry to the correct GL account, matched outstanding bills to POs and receipts, and cleared unapplied customer payments.

[R] Result Delivered

Closed with zero unclassified entries and zero unmatched bills, taking the close checklist from 12/30 to 30/30 tasks a full day early.

Precise Methodology
  • Mapped entries to a standardized chart of accounts
  • Matched bills against POs, receipts, and vendor records
  • Cleared unapplied payments and resolved overpayments
See How I Can Replicate This for You
Payroll Case Study
0 Formula Errors
PTO Accrual Formula Audit & Correction
Outcome: Corrected balances, full team
[P] Problem

A PTO tracker returned #REF! and #VALUE! errors, plus negative and overstated balances, for every employee whose salary period changed mid-cycle.

[A] Action Taken

Traced the error to a proration formula that didn't adjust for mid-period transitions, rebuilt the calculation logic, and cross-checked balances against policy.

[R] Result Delivered

Corrected balances for all 5 affected employees and verified accuracy across the full 22-person team, with an audit note logged for future changes.

Precise Methodology
  • Traced formula errors to a proration logic gap
  • Rebuilt accrual formulas with mid-period proration
  • Verified all balances against written PTO policy
See How I Can Replicate This for You
Reconciliation Case Study
$0.00 Variance
Bank & Credit Card Reconciliation
Outcome: Full variance resolution
[P] Problem

A $4,318.62 gap between the bank statement and book balance was blocking month-end close, with 5 transactions unrecorded, mismatched, or duplicated.

[A] Action Taken

Traced each discrepancy to source documentation, recorded a missing wire and bank fee, corrected a mismatched CC settlement, and removed a duplicate entry.

[R] Result Delivered

Reconciled bank and book balances to the penny, closing the month with a $0.00 variance and a clean file ready for audit.

Precise Methodology
  • Traced every unmatched line to source documentation
  • Corrected mismatched CC settlement postings
  • Verified final tie-out to $0.00 variance
See How I Can Replicate This for You
Credit & Data Case Study
100% Synced
Client Credit File & Database Cleanup
Outcome: One source of truth
[P] Problem

Client credit records were split across the internal system, a G-Sheet database, and paper CAR forms, leaving 4 clients with incomplete trade reference checks and 7 approvals stalled.

[A] Action Taken

Completed the outstanding trade reference calls, filed missing CAR forms, resolved a duplicate credit file, and reconciled every record between the system and database.

[R] Result Delivered

Brought system-to-database accuracy from 62% to 100% and cleared all pending approvals, giving credit staff one reliable source per client.

Precise Methodology
  • Completed all outstanding trade reference checks
  • Reconciled records across system and G-Sheet database
  • Resolved duplicate and incomplete CAR forms
See How I Can Replicate This for You
Reporting Case Study
+101% of Goal
Revenue & Gross Profit Dashboard
Outcome: Automated MTD/YTD reporting
[P] Problem

Stakeholders received only a raw daily data export with no MTD/YTD rollup or goal comparison, requiring a manual scan of the numbers every week.

[A] Action Taken

Built an automated MTD/YTD summary with goal-vs-actual tracking, trailing averages, and a daily trend chart on top of the existing raw feed.

[R] Result Delivered

Delivered a dashboard that closed December 1% ahead of the gross profit goal and cut weekly reporting prep to a 5-second read.

Precise Methodology
  • Built automated MTD/YTD rollup formulas
  • Added goal-vs-actual and trailing average tracking
  • Designed a stakeholder-ready daily trend view
See How I Can Replicate This for You
Collections Case Study
12 Accounts Cleared
Past-Due Collections & Follow-Up System
Outcome: Streamlined weekly collections
[P] Problem

Past-due accounts were tracked inconsistently across sales reps, with follow-up emails sent ad hoc and no unified view of overpayments or unapplied credits tied to open balances.

[A] Action Taken

Built a standardized weekly collections report segmented by sales rep, established a consistent past-due follow-up email cadence, and cross-referenced unapplied payments against open balances.

[R] Result Delivered

Cleared 12 aging past-due accounts in the first cycle and gave every sales rep a reliable, accurate weekly view of their outstanding balances.

Precise Methodology
  • Segmented past-due report by sales rep, updated weekly
  • Standardized the collections follow-up email cadence
  • Cross-checked unapplied payments against open balances
See How I Can Replicate This for You
Key Numbers
3+
Years in Corporate Accounting
100%
Reconciliation Accuracy Rate
0
Missed Reporting Deadlines
15+
Tools & Platforms Used
05 — Get In Touch

Let's Talk
About the Role.

I'm open to full-time, part-time, and project-based remote positions. Reach out directly — I respond within 1 business day.

I bring 3+ years of corporate accounting experience and I'm ready to contribute to a remote team from day one. If my background looks like a fit, I'd love to connect.

PDF · Updated 2026 · Full work history included

The more context you share, the better I can assess fit.

I reply within 1 business day · Open to direct client inquiries