Quantcast

Financial Reporting Balance Sheet Resume...
Resumes | Register

Candidate Information
Name Available: Register for Free
Title Financial Reporting Balance Sheet
Target Location US-FL-Pembroke Pines
Email Available with paid plan
Phone Available with paid plan
20,000+ Fresh Resumes Monthly
    View Phone Numbers
    Receive Resume E-mail Alerts
    Post Jobs Free
    Link your Free Jobs Page
    ... and much more

Register on Jobvertise Free

Search 2 million Resumes
Keywords:
City or Zip:
Related Resumes

Financial Reporting Services Davie, FL

Customer Services Financial Reporting Tamarac, FL

Financial Analyst Reporting Fort Lauderdale, FL

Human Resources Financial Reporting Fort Lauderdale, FL

Finance Executive Financial Institutions Miami, FL

Financial Officer Executive Director Fort Lauderdale, FL

Accounts Payable Financial Analyst Hialeah, FL

Click here or scroll down to respond to this candidate
Candidate's Name  (Seeking 100% Remote Opportunity-Consulting or Permanent)https://LINKEDIN LINK AVAILABLEPHONE NUMBER AVAILABLE EMAIL AVAILABLE Pembroke Pines, FLACCOMPLISHMENTS - in Public & Private Sector  Energy, Banking, HealthCare, Retail, Construction, Manufacturing etc.*Warner Brothers  Application Architect/SAP FICO Consultant, Burbank CA Jun Street Address   Sep 2023SAP CFIN Support Project- focused on source to target reconciliation to ensure cFIN replication process is complete in the target system. Look into many AIF Errors, propose accounting treatment to true up account balances in the target system to support the month end closing process and facilitate accurate financial reporting.High pace, large volume of data analytics supporting the cFIN/S4 HANA implementation project.Source to target reconciliations (ECC to S4, Non-ECC to S4), research variances, provide solutions and variance explanations.SAP Financials, AO reports (BOBJ Analytics) etc.AIF Dollar Fallout Errors, Month end Journal Entries & mapping issues.*Mosaic  Sr. Financial Analyst  Tampa FL Oct 2022  Mar 2023Prepare and upload month end close JEs. (Large datasets).Process enhancement of many tasks that were already in place and write new SOPs and/or update the old SOPs to reflect the new process enhancement features.Reports automation  automated several manual reports.Run various BOBJ reports (BI Reports), modify them to ongoing changing reporting requirements, export to excel for further data manipulation with financial modeling for cost analysis.Prepare and upload COPA entries.Work with Ops team to take over operational accounting, analyze current tasks for process enhancement, document existing and upgraded process, once the process was stabilized, transitioned these tasks to yet another accounting team.Work with financial systems team to automate JEs in Blackline, as necessary.Medline Industries - Sr. Financial Systems & Accounting Analyst  Chicago, IL Feb 2022  Aug 2022Various GL Accounts analysis for accuracy and process enhancement.Review existing accounting policies and recommended many updates to company policies (CapEx of manufacturing machinery & other tangible properties, ASC 606, ASC 842 etc) as it was necessary.SAP Master Data Management (MDM), Statistical Internal Order implementation project, trading partner, intercompany transactions.Ongoing accounting research for leases (ASC 842), revenues (ASC 606), Cash etc.Reconciliations and review of accounting data.Ongoing analysis of various accounts (BOBJ), policies and data to provide recommendation for deficiencies in reporting, allocations etc. and accordingly implement internal controls.Global Chart of Account  Analysis, assess mapping accuracy, account definitions etc.Work with various teams/departments across the organization including global teams.NextEra Energy (SAP-FICO) Sr. Accountant / Analyst  Juno Beach, FL May 2021  Feb 2022Ongoing problem solving and process enhancement dealing with large volume of data analytics in a high pace work environment with complex transactions.Identify and resolve issues with GL and Intercompany transactions.Responsible for many levels of reporting including financial statements, variance analysis for actual vs. budget & forecast (B/S, I/S, Operating Statement), reconciliations (Blackline).Monthly, quarterly, and annual closing activities related to capital (Balance Sheet) and operational expenses (Income Statement). MOM variance analytics included actual vs. budgeted amounts. Reconcile asset subsidiary ledger (for long-term capital improvements of Injection Wells) to tie with the GL balance and track related depreciation expenses. Additionally, few ARO (asset retirement obligation) JEs and provide variance explanation for many over/under operating expenses compared to budgeted amounts.Comply with audit requirements.Several other tasks in approver capacity includes reviewing and posting Journal Entries, review and certify various monthly and quarterly reconciliations etc.SAP BOBJ reporting, AO reports, customize reports as needed export to excel for further analysis. Create many different views of SAP report by creating variants in SAP.Blackline  GL Reconciliation and work with blackline & SAP teams for automation of JEs.UBS - Reporting Analyst in Banking (Contract Work)  Nashville, TN Aug 2020  Feb 2021Provide monthly closing reports, account analysis, fixed assets as well as budgeting to Finance with necessary descriptions and supporting data for the cost movements in the various GLs. Provide variance analysis due to budget changes, budget for new plans/carriers, and compare budgeted vs actual costs for self-funded healthcare plans.Reconcile monthly accrual reports with insurance carrier reports and screen for any un-anticipated claims activity. Create many ad-hoc reports from BOBJ and analyze data on a monthly/quarterly/annual basis. Reconciliation of various internal general ledger and monthly variance reporting for medical, retirements and voluntary plans.Support the internal and external audits of qualified plans providing data and supporting process documentation. Also support existing and new initiatives and projects with annual plan audits, and upcoming plan year cost modelling.Certify balances for the assigned accounts for further substantiation process by the reviewers (SOX Compliance Process). Accounting System Used  SAP-FICOEnvera Systems - Project Accounting Manager  Coconut Creek, FL May 2019  Jun 2020Complex ad-hoc reporting and reconciliation of accounting data between multiple accounting systems. Journal entries, GL reports, Audit reports as requested. Intense budgeting and forecasting process for senior management. Work in Cross-Functional team environment to analyze the accounting data for reporting and process enhancement. Salesforce, Sedona, & SAGE GL Customer mapping. (Heavy use of advance Excel formulas and functions, pivot tables etc). Extensive budgeting and forecasting for sales revenues, security equipment, and operational expenses. Review monthly depreciation entries, reconciliation etc. Prepare BI reports with Infor F9.Envision Healthcare  Sr. Consultant (Oracle) - Sunrise, FL Jun 2018  Nov 2018Hybrid Accounting & Finance role involving many complex ad-hoc financial reporting (using Hyperion) projects across various accounting teams, reconciliation, mappings between various operating units, comply with external audit requests, Journal entries, Revenue & Subsidy projects included variance analytics related to monthly revenue forecast vs actual revenues.D. Stephenson Construction  Controller (Mas 90)  Fort Lauderdale, FL Oct 2017  Mar 2018Supervised staff of three for accounting activities related to various reconciliations, burden analysis, job costing, month and year end close and prepare the monthly financial package, HR functions & accounting for HR benefits, process improvement. Capitalization of CIP project, capitalization of long-term tangible assets (mostly construction related heavy machinery & equipment) & monthly depreciation entries.Office Depot Office Max  Sr. Accountant  Contract (Oracle & SAP)- Boca Raton, FL Sep 2015  Nov 2016Financial Reporting Analyst Mergers, Acquisitions, & Restructuring  Project Accounting (Consultant)Financial Reporting (US GAAP)  Develop monthly summary financial package includes monthly, quarterly, and yearly includes preparing consolidated and flash financial reports and flux analysis with identifying main drivers.Review, research, and analyze transactions to appropriately categorize them and/or respond to many queries as requested by various business unit managers.Project Accounting  meet with IT Finance business unit members, understand their requirements, and translate them into projects per the accounting policies. Set up and maintain projects in Oracle for capital expenditure and other expenses. Asset depreciation, retirement (per assets useful life), and reconciliation of asset subsidiary ledger to GL balance. Each asset capitalized, depreciated, and tracked using the asset #. Maintain asset register for assets over $100K.Month end close  high pace, high volume complex transactions to book many re-classes, accrued liabilities and perform balance sheet account reconciliation to ensure accurate financial reporting.Consultation and frequent interaction with various business unit managers for project set-up, maintenance, asset capitalization, project accruals, and closure of projects. Capitalized Tangible assets such as computer, machinery, equipment, furniture, lease hold improvements. Intangible asset capitalization was done for internally developed software.Respond to audit requests in a timely mannerTeam player with can do attitude. Very comfortable working alone or in a group environment.Technical skills  Oracle, FMR, Hyperion Essbase, SmartView, TDM, Advance Excel with Pivot Tables & VLOOKUP.Controller  Miller Construction Company  Fort Lauderdale, FL Jun 2014  May 2015Over all supervision of accounting functions to streamline accounting processes for continuous improvement & manages multiple accounting operations  results drivenFleet management & usage of fuel and service expenses. Capitalization of new trucks in addition to expenses related to long term improvement/enhancements increasing the life of the assets (trucks, machinery, furniture). Track monthly depreciation and maintain the asset register for new and retiring assets. Asset were Capitalized per company policy (pre-determined dollar threshold). Also capitalized CIP projects (multiyear construction projects).Month end closing with cash management, Sales Tax filing, GL reconciliation and bank reconciliation (Timberline)Implementation of controls and process enhancements for costs control and increased productivityExtensive analysis using advance excel functions, Pivot Tables, VLOOKUP, Date, text, IF statements etcAdditional responsibilities as HR Manager to handle pre-employment & hiring process, benefits analysis & reconciliation including COBRA benefits, annual evaluations, and handle terminations etc.Strong analytical skills (Data analytics & ad hoc-reporting)Sr. Accountant  University of Miami Hospital  Miami, FL Apr 2013  Aug 2013Month end closing with extensive GL work and capitalization of ongoing construction in the hospital (CIP Capex)Balance Sheet ReconciliationsInter Company transactions, allocations, reconciliation, and variance analysisGAAP & SOX complianceSr. GL Accountant Total Home Health (HealthCare)  Hallandale Beach, FL Oct 2012 - Mar 2013Month end closing with extensive GL work related to payroll, payroll accruals, benefits such as health, dental, and vision insurance, PTO etc.Inter Company Transactions, reconciliation, and variance analysisSignificant number of bank reconciliation & Vendor invoice reconciliationDaily deposits & bank transfers  maintain reports for daily cash balancesBudget to actual  variance analysisCredit Card Expense allocation for many executives for several branches.Extensive daily use of Excel using advance formulas and functions, and Pivot tables & VLOOKUPSIndependent Contractor - Dade/Broward Counties - FL Jan 2008 Aug 2012Worked full time contract positions while I was a full time student at FAUSenior Accountant  Intermedix (Healthcare Technology)Month end closing with extensive GL workCapitalization of Internally developed software, software enhancement, related amortization, and asset reconciliation.Accruals, Payroll - ADP, and PR BenefitsWells Fargo Commercial Credit Card Expense allocation & ReportingInter Company Transactions, Prepaid expenses, Fixed Assets, Depreciation, and liabilities ScheduleGAAP & SOX ComplianceController  Meridian Pain & Diagnostics (Healthcare)Supervised overall accounting functions  AP, AR, Reconciliation, Payroll  ADP, JEsIdentified and established policies and procedures, implementation of internal controlsProcess enhancement and organization of accounting department at 3 different locationsWorked towards preparing documentation for the pending audit.Staff Auditor - Adrenalina - Retail (Public)Inventory Valuation  Inventory Price Test, Sales Price Test, Net Realizable Value, Gross Profit Analysis (Prepared work papers/schedules)Prepare memos for the tasks assignedSEC Financial Reporting  prepare financial statements, templates and footnotesAutomated the process to prepare consolidated Financial Statements (Balance Sheet, Income Statement, Statement of Cash Flows)  Solely responsibleExcel analysis using various advance functionsOther  Vouching for AP, Price Test, Sales Price Test, Cash, Sales Receipts.Revenue Reconciliations Accountant at Hilton Hotels (Hospitality)Bank reconciliationsAccountant at Inspirations for Youth & Families (Non Profit)Perform full cycle AP, AR, Payroll  ADP, reporting and write-offs functions (QuickBooks). Developed method to track lost sales in the accounting systemAccountant at Goodwin Biotechnology (Pharmaceutical  Manufacturing)Developed relationship with vendors and re-negotiated the existing payment termsFull cycle A/P, A/R, Collections, Sales Tax, Fixed Assets Depreciation & leased equipment schedules, Balance Sheet accounts & Bank reconciliation, Journal Entries, GL maintenance, Petty Cash, Purchase Orders.Time Track  Maintain and process payroll hours (Paychex) and employee benefits such as vacation, PTO time and comp time.Staff Accountant at Hebrew Home Mgmt. Inc.(HealthCare)Full cycle high volume AP (450/500 checks) using Keane software. Assisted in M/E closing. ADP  assisted in payroll for 1500 employees  Monitor & process PR hours, benefits and update ADP system for further processing by ADP.Ranco Construction Corporation of SFL, Hollywood, FL Feb 2006  Aug 2008Staff Accountant (Construction)Developed a technique that resulted in reduced costs in workers comp insuranceProcessed weekly Payroll (QuickBooks), remitted Payroll Taxes and performed reconciliation, GL JEs, job costing (Construction Accounting), extensive Monthly, Quarterly and Annual reporting, AP / AR, month end closings. Assisted in Worker Comp. Audits, Project / job costing, Office Management.Preparation of financial statements (Balance sheet & Income statement) and Trial Balance report, adjusting entries, Pre-paid and Accruals, month end closing.Developed and implemented Internal Control in all areas of accounting functions and automation of several reports for internal reportingAnalysis and reconciliation of Bank accounts, Balance Sheet, and Credit Card accounts.South Florida Hindu Temple (Non-Profit), SW Ranches, FL Dec 2004  Feb 2006Full Charge BookkeeperAP, AR, Payroll, Ad hoc ReportingINDUSTRY EXPERIENCE  Small to Large Size CompaniesHealthcare & Healthcare Manufacturing Pharmaceutical Construction Non-ProfitHealthcare Technology Hospitality Wholesale RetailFactoring (Accounts Receivable) Manufacturing Mining Media & EntertainmentTECHNICAL SKILLSFinancial Systems, SAP cFIN Support, SAP Business Object (BOBJ), Oracle, Hyperion, Essbase, SAP, Blackline, Cadency, TDM, Cognos, Timberline, Timber Scan, Great Plains, People Soft, Net Suite (ERP), Sage100-Masterbuilder, Click Time, Keane (A/P system), ProCore, QuickBooks  Pro, Premier, & Enterprise, ERPLY & Celerant (Point of Sale system),SalesForce, Crystal Reports, MS Office (Excel: Pivot Tables), Windows 98, 2000 & NT, SQL, Developer 2000, Designer 2000, Unix, Visual Basic, MS Access, Power Point, Outlook.ACCOUNTING SKILLSGL Reports, Source to Target System Reconciliation, AP, AR, Deferred Revenues, Cash Management, Bank Reconciliation, Chart Of Accounts, Payroll (via ADP, Paychex, and QuickBooks), Debit & Credit Notes, Accruals, Fixed Assets & Depreciation Schedules, Pre-Paid Assets, Liabilities, Month end closing, Software Capitalization, Expense Reporting, Inter-Company Transactions, AIA Billing, Financial Statements, Financial Reporting, Variance/Flux Analysis, Big Data, Data Mining, Financial Analysis, Vendor Reconciliation, Internal Controls, Debt payments, Balance Sheet Account Reconciliation, Budget, Sales Tax etc. Data Analysis, FASB, SEC, detailed oriented. Knowledge of GAAP & SOX compliance, Benefits  Finance.LANGUAGES  EnglishWILLLINGNESS TO TRAVEL - NoneEDUCATIONFlorida Atlantic University, Boca Raton, FL Masters in Accounting MAC(AIS)  May 2017Florida Atlantic University, Boca Raton, FL BBA in Accounting and Finance (Double major)  Aug 2011

Respond to this candidate
Your Message
Please type the code shown in the image:

Note: Responding to this resume will create an account on our partner site postjobfree.com
Register for Free on Jobvertise