Diligent Accountant with strong accounting background and proven industry expertise. Monitored business operations and regulatory compliance for large corporation. Superior account management and reconciliation skills leading to achievement of desired results.
Overview
13
13
years of professional experience
Work History
Accountant
Westmount Store Fixtures/ STM Displays
Edmonton
09.2017 - Current
Responsible for all the month end work including JE etc
Prepared accurate monthly financial statements and reconciliations.
Collaborated with cross-functional teams to streamline accounting processes.
Manage full-cycle Accounts Receivable and Payable processes, including issuing cheques and processing EFTs.
Oversee office mail distribution, track shipments, and maintain records of incoming purchases for corporate documentation.
Create and update spreadsheets and databases to analyze and report on financial performance.
Collaborate with vendors, contractors, and service personnel to streamline orders and office activities.
Process invoices and manage revenue and expense documentation through AIMS and EPICOR software.
Reconcile bank accounts and general ledger entries, managing month-end processes and daily postings.
Handle GST/PST filings and ensure compliance with financial regulations.
Managed accounts receivable and payable, reconciled bank statements, and prepared financial reports.
Created journal entries accurately and timely for month end close processes.
Performed general ledger reconciliations on a timely basis.
Coordinated with external auditors during the annual audit process by providing requested documents and responding to inquiries in a timely manner.