Dynamic and highly qualified automotive corporate controller with extensive hands-on knowledge of accounting principles, taxation policies and income tax procedures. I am flexible, adapting seamlessly to constantly evolving accounting processes and technologies. Accounting professional with 40 years extensive experience doing full financial statements, audits, reviews, full disclosure compilations and government audits, serving high net worth individuals, C corp., S corp., partnerships .Analytically skilled in financial and managerial accounting practices and procedures.Accomplished Manager with extensive experience in front-of-house and back-of-house operations. Proven ability to cut costs and decrease staff turnover.Experienced professional with strong leadership and relationship-building skills.High-energy Manager successful in building and motivating dynamic teams. Cultivates a company culture in which staff members feel comfortable voicing questions and concerns, as well as contributing new ideas that drive company growth. Mentor to accounting staff and all managers.
General Ledger Accounts
Managed accounting operations, accounting close, account reporting and reconciliations.Performed debit, credit and total accounts on computer spreadsheets/databases, using specialized accounting software.Guided firm reconciliation, payroll, annual bonus, pension funds, annual reporting, and management of investments.Reviewed accountantÆs book entries to ensure accuracy of the G/L.Worked with management to document and offset unusual expense variances in their respective areas.Assisted in the creation of vendor contracts for outside vendors.Maintained confidential information, such as pay rates, bonus targets and pay grades.Prepared financial and regulatory reports required by laws, regulations or boards of directors. I did this for 3 franchises- Volkswagen, Kia and Chevrolet.
Managed accounting operations, accounting close, account reporting and reconciliations.Received, recorded, and banked cash, checks, and vouchers as well as reconciled records of bank transactions.Completed monthly, quarterly and annual bank reconciliations.Guided firm reconciliation, payroll, annual bonus, pension funds, annual reporting, and management of investments.
Processed bank reconciliations and financial reports to verify practice of proper due diligence.Handled cash and deposits using the proper accounting procedures and documentation.Processed journal entries, transfers and payments.Executed quarterly financial reporting on multiple properties.
Processed deals, typed contracts, MV work, and posted all deals
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