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Title Controller/Accountant Manager
Target Location US-FL-Miami
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                              Candidate's Name
                               Miami Fl Street Address
                              Cell: PHONE NUMBER AVAILABLE                       e-mail: EMAIL AVAILABLECareer Summary / Objective:Professional with 26 + years experience in  the  Accounting,  Administrativeand Financial Industries. Proven track record for  effectively  coordinatingactivities for large companies by utilizing extensive  knowledge  and  greatinterpersonal relations to ensure the company's  success.  Advance  modelingskills, strong analytical and problem-solving skills.  My  objective  is  toobtain a challenging position with a dynamic organization, where I  can  usemy skills and knowledge to grow within the company and  make  an  impact  onthe company's bottom line.Accomplishments:    .  Developed  and  implemented  internal  process  for  regulating   and      coordinating the expenses budget in the subsidiary.    . Participated in various system development  projects  that  positively      impacted the financial situation of the company.    . Led and improved the business  planning  management  process  for  the      subsidiary ( 1995-2001 )    . Led the Treasury department and Financial Planning departments as  new      areas to the subsidiary (1995-2001).    . Experience with Latin American and USA markets.    .  Experience  on  FASB,  FASB  52  Pronouncements  and  GAAP  reporting      requirements.    . Managed exchange control system (OTAC) from 1995 to 1997 in Venezuela.    . Managed Timberline, Quick Books, Solomon, Hyperion, Tenant Pro.Professional Experience:The OM Center                 ( Property Management )         Miami  Florida Jan 2018 until now.Controller / Accounting Manager    . Manages the entire accounting staff    . Maintains a  system  of  controls  to  ensure  that  assets  are  used      appropriately    . Manages the processing of all accounting transactions, by detailed set      of policies, procedures, and  forms  (including  .  billings,  account      payable, payroll, collections and cash receipts.    . Maintain a chart of  accounts  and  general  ledger,  from  which  are      compiled a set of financial statements.    . Assist external auditors with  their  examinations  of  the  company's      financial statements and controls.    . Coordinating and creating the budget.Sun Management, Inc.             (Construction Company)       Miami  FloridaAugust 09 to July 2017Controller/Property ManagerFinance and Accounting Experience:    . Evaluating new business financial opportunities.    . Financial analysis, reporting, forecasting, planning and modeling.    . Capital Expenditures.    . Cash management, cash flow analysis.    . Monthly financial statements.    . Plan and administer annual budget.    . Liaison between subsidiary and corporate office for month end.    . Coordinated and handled all aspects  related  to  the  company  annual      audit ( internal and external).    . Administered a corporate program  to  ensure  high  quality  training,      motivation and growth for new hires.    . Lead with  minimal  supervision;  prepare  accounting,  financial  and      statistical reports for membership  reporting.  Assist  in  developing      methods and criteria for summarizing analysis/data. Completes  routine      and moderately complex financial analysis. Ensures  overall  adherence      to corporate guidelines and performance standards.    .  Monthly Financial statements, Cash management and cash flow  analysis      - Property Manager, Rent Roll monthly repotsEulen  America  Inc.             (Services   Management)              Miami,Florida Jan, 2008 - May 2009Controller Assistant    . Monthly Financial statements, Cash management and cash flow analysis,    . Coordinated and handled all aspects related to  the  company  in  USA,      Lead with minimum supervision, prepare monthly  accounting,  Financial      Statement and statistical reports for membership reporting,    . P &  L  report,  Aging  report,  Offices  Management.  Evaluating  new      business financial opportunities.    . Financial analysis, reporting, forecasting, planning and modeling.    .  Liaison between subsidiary and corporate office for month end.    . Lead with a minimal supervision. Capital Expenditures.    . Coordinated and handled all aspects  related  to  the  company  annual      audit ( internal and external).Paramount    Drywall                               (Construction    Company)Miami, Florida  April 2005 - Dec 2007Staff Accountant    . Prepare accurate  and  timely  monthly  financial  statement,  Balance      Sheet, P & L report, Aging Report, closing for management.    .  Oversees Audit functions, Oversees Revenue,  account  reconciliations      and consolidations  functions,  responsible  for  financial  planning,      reporting and control, provide financial and analytical support to the      company's owners.    . Consolidation and analysis of annual operating budgets, forecasts  and      strategic plans, responsible for implementation of internals  controls      and tax policies,    .  Cash flow analysis.Primerica Financial Services                 (Financial Company)Accountant  Executive  Self  employ                          Miami,  FloridaJan   2001- Jan 2006    . In Charge of helping people with their own  Financial  Needs  Analysis      (FNA) that is designed to identify areas  where  people  can  free  up      money for future goals and dreams so people can make better  decisions      in managing their money, with  the  -  Income  Protection  (Term  Life      Insurance), - 1st mortgage, Debt Consolidation  Loan,  to  fully  fund      their children's education, and Retirement Plan ( 401 K, Roth IRA ).Gold Coast Beverage Distributors.          (Beverage Company)Staff   Accountant                                                    Miami,Florida             2002-2004    .  Download  on  daily  basis  the  bank  Statements,  related  to   A/R      activities, daily balance of Invoice Register & Sales Journal, Cash  &      Sales Report.    . Related to A/P activities request the necessary information  in  order      to transfer all the A/P invoices into the system as prepare the  Sales      Taxes in a monthly basis, or quarterly, Cash Reconciliation.Texaco Venezuela Resources Inc.              (Petroleum & Gas Company)Controller                                               Caracas,  Venezuela      1995-2001    . Prepare accurate and timely monthly financial closing for management.    .  Oversees revenue, account reconciliations functions    . Supervise payroll employees, government  taxes,  vendor  payments  and      Yearly Budget,  Processed  Orders,  invoices,  expenses  reports,  and      determined the cash forecast to ensure the Treasury would balance  the      accounts.    . Maintained and updated the Financial Accounting System to  meet  legal      and Corporate Standards.    . Worked closely with the Houston (USA) office to provide  all  reports,      and account reconciliation for all International Stations.    . Oversee the  tax,  and  Audit  Functions.  Responsible  for  financial      planning, reporting and controls for the region. Experience  on  FASB,      FASB 52 Pronouncements and GAAP reporting requirements.    . Experience with Latin American and USA markets.Skill & Expertise:    . Communication SkillsBilingual Spanish- English.    . Computers Skills:Windows 98, NT, XP, Microsoft Office: Word,  Excel,  Power  Point,  Outlook,Internet Research, Tenant Pro, Sage, QuickBooks, Timberline    . Training & Licenses:Life Insurance, Mortgage Broker, Marketing & Sales detail & Goal oriented.Education:Catholic University, Andres Bello, Caracas- Venezuela  - CPABachelor and Master Degree of Science in Accounting  and  Master  Degree  inAccountingCPA- Life Insurance & Mortgage Broker Licenses. Miami, Florida.

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