Paul
Senior Accountant @Crossbridge Condominium Services Ltd
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WORK HISTORY
Senior Accountant @Crossbridge Condominium Services Ltd
Toronto, ON, CA
EDUCATION
National Institute of Information Technology, Calcutta
Diploma, Software Engineering 2002
Georgian College
Diploma, Business Management (Co-op Educational
Ryerson University
B.Comm., Finance Major
ABOUT PAUL
As a Finance and Accounting professional, I have performed various levels of accounting duties including preparing, maintaining, analyzing and reconciling Financial Statements and General Ledgers. Additionally, I have also assisted in preparation of budgets and Forecast, annual audit, and year end closings. Furthermore, my professional experience also includes the following:• Responsible for monitoring and implementation of any new accounting standards and ensuring compliance with company\'s accounting policies• Solid grounding in management accounting functions, financial analysis, including budget analysis, cost/benefit analysis and other financial management decisions.• Excellent grasp of principles and best practices in the development of original research and recommendations.• Responsible for full cycle accounting including accounts payable and accounts receivable.• Solid grounding in financial software applications and spreadsheet analysis, particularly the use of database applications, queries and custom report generation.• Comprehensive understanding of the impact of technology on the finance and accounting function, particularly with respect to analysis and presentation of financial information.• Exceptional communication skills reflected in written and verbal communications and able to articulate, persuasive manner for individual and/or group situations (senior management and other stakeholders).• Excellent at interpreting, applying and presenting complex information in an audience appropriate manner.• Support the different user group\'s performance by conducting periodic ad hoc analysis and reporting.• Build relationships with finance peers supporting other services and reporting experts to share best practices and insights• Preparing and reviewing monthly internal reports before distribution including reconciliations and working papers.• Liaise with regulators and internal auditors as necessary.
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