Business Analyst with three years experience in healthcare finance. Experience working effectively with physicians, academic faculty and different teams for the Neonatal Intensive Care Unit at Boston Children's Hospital. Strong knowledge of budget creation, fund management, and financial analysis.
Microsoft Word, Excel, PowerPoint, KPMG's audit methodology, KPMG's audit software systems
08/2014 to 08/2015
Business Analyst IBoston Children's Hospital － Boston, MA
09/2015 to Current
Business Analyst II
As a Business Analyst II I am responsible for executing all financial related activities for the Neonatal Intensive Care Unit (NICU) and Division of Newborn Medicine.
Created annual budgets which includes salary for more than 200 Newborn Medicine Faculty, fellows, and staff and almost $25 million in clinical revenue from several different Neonatal Intensive Care Units.
Managed individual educational funds for faculty and fellows, more than $9 million in start-up and recruitment funds, and almost $10 million in philanthropic funds.
Reconciled expenses monthly from the Division of Newborn Medicine's main operating fund, several federal grants and post-award functions.
Budget creation and invoicing for our shared fellowship program (18 clinical fellows who split their clinical and research time between Boston Children's Hospital, Brigham and Women's Hospital, Massachusetts General Hospital and Beth Israel Deaconess Medical Center).
Processed bills for the Division of Newborn Medicine and reimbursements for all Newborn faculty and employees.
Prepared and completed bi-weekly payroll for all Division employees.
08/2013 to Current
Associate AccountantKPMG, LLP － Boston, MA
As an Audit Associate I am responsible for executing day-to-day activities of audit engagements of various clients.
I recognize and communicate accounting and auditing matters to senior associates and managers, interact with the client, and identify performance improvement opportunities.
Performed cash, payroll, investment test work and performed cash and investment reconciliations.
Sent out confirmations to third parties, performed test work on returned confirmations.
Made financial analytics for cash accounts.
Used prior year numbers and current year actuals to analyze trends for significant accounts.
Completed work within financial statements.
Performed tie outs, affiliate reconciliations, and topside journal entries.
Completed bank reconciliations related to the cash account.
Executed procedures over test of design, test of details, control testing, and substantive testing.
Performed compliance test work for A-133 audits to ensure proper rules and regulations were followed during regular procedures.
I have worked on a number of financial service clients as well as consumer market clients.
I have worked with many different teams whose members range from staff level to partners.
I have been flexible to meet customer demands while meeting strict reporting deadlines.
Education and Training
BS: AccountancyProvidence College － Providence, RIAccountancy
accounting, auditing, bank reconciliations, budgets, Budget, Business Analyst II, bi, client, clients, financial, financial statements, funds, grants, invoicing, market, Excel, PowerPoint, Microsoft Word, payroll, recruitment, reporting, research