Canada
Project accountant at TCU Development Corporation
Responsibilities included the following: -Financial Statement: Prepare supporting schedules -Bank reconciliation -Investigate and implement cost savings -Work within policy and guidelines to develop task efficiencies -Cash Management -Cost control reporting -Oversee the back-end responsibilities of 2 geographical areas -Accompany Management on Branch Audits and assist with review writing
Responsibilities include the following: -Debit reconciliation -Audit and code employee expense claims -Balancing daily branch deposits -Provide accounting services for the branches -Maintain inter-company payables and receivables -Receipt payment for vehicle purchases and electronic fund transfer