Offering demonstrated expertise in
preparing annual financial reports, reconciling balance sheet accounts, performing fixed assets reconciliations, and posting and administering journal entries.
Not exact matches
All amounts are in Canadian dollars and are based on our audited
Annual and unaudited Interim Consolidated
Financial Statements for the year and quarter ended October 31, 2015 and related notes
prepared in accordance with International
Financial Reporting Standards (IFRS).
The term sheet will also typically list the standard
financial reports required by the institutional investor, including
annual audited statements, monthly or quarterly
prepared management statements, and immediate notice of certain material events (such as litigation).
You can usually find out about future risks by reading the management's discussion and analysis (MD&A) section of the
annual reportAnnual
report A
financial report that a company
prepares for its shareholders each year.
The Finance Committee establishes procedures for disbursement of funds,
prepares an
annual budget and presents an
annual financial report to the County Committee.
Gather accurate data and
prepare financial reports, such as monthly, quarterly, and
annual spending, both actual and forecasted, for the executive producer and studio management team;
Financial reporting of risk Academies are required by their funding body to prepare a governance statement and to include it with the financial statements or annua
Financial reporting of risk Academies are required by their funding body to
prepare a governance statement and to include it with the
financial statements or annua
financial statements or
annual report.
prepare complete three months, six months, nine months and twelve months (
annual)
financial statements in accordance with generally accepted accounting principles and
report to the Board at every meeting the condition of the Club's finances based on the latest
financial statement and current information; (5.)
The
financial monitor will make recommendations to the board in connection with the board's consideration of proposals relating to the finances of Cooper Union and will
prepare annual reports.
The
financial monitor will make recommendations to the board regarding its proposals on the finances of Cooper Union and will
prepare annual reports.
Gather accurate data and
prepare financial reports, such as monthly, quarterly, and
annual spending, both actual and forecasted, for the executive producer and studio management team;
The resume format of finance executive also has to cover areas of finance management like
preparing annual accounts, conserving securities, carrying out internal audit, making presentations of
financial reports to be shown to the senior management.
Handled various duties like:
preparing financial statements and
reports, helping in
preparing annual business strategies and so on
Worked as an assistant account manager with the following responsibilities and duties: handled a team of 4 employees from the account department, supervised their work and provided support to them, looked after all general ledger accounts, looked after accounts payable and receivable,
prepared financial reports, statements and sent them to the senior account manager, helped in
preparing annual budget
•
Prepared detailed
financial reports, variance analysis, and notations for monthly
financial package, quarterly forecasts and
annual budget development.
Essential responsibilities listed on a resume sample for
Financial Planning And Analysis Manager are providing leadership, preparing financial reports, taking part in decision making, helping develop the annual operating budget, and supporting business planning p
Financial Planning And Analysis Manager are providing leadership,
preparing financial reports, taking part in decision making, helping develop the annual operating budget, and supporting business planning p
financial reports, taking part in decision making, helping develop the
annual operating budget, and supporting business planning processes.
Prepared monthly
reports including period totals, transaction summaries,
annual rabies
reports,
financial statistics, and expense ledgers.
Their work includes creating shareholder
reports and
financial statements, analyzing costs and expenses, monitoring accounts,
reporting to audit teams and
preparing annual reports.
Town Managers serve the municipality by completing a variety of duties:
preparing materials for council meetings, developing the
annual budget, implementing
financial reporting procedures, administering funds, liaising with the government and local entities, managing municipality assets, and hiring staff.
Prepared valuation analyses and cash flow models on prospective acquisitions using ARGUS; and recorded acquisition / sale of 1031 properties on multiple entities
Prepared quarterly
financial reports for tax auditors using QuickBooks, including all supporting schedules for 10 - K and 10 - Q filings Created / Maintained lease briefs for newly acquired assets and performed due diligence for prospective acquisitions Managed and reconciled cash for company and 1031 exchange properties; and acted as primary contact for all treasury management issues Filed
annual business property statement and recorded estimated income tax payments — state and federal Created accounting procedures manual and supervised / trained assistants to perform accounts payable tasks Consulted with property accountants to resolve discrepancies in monthly
financial reports Provided executives, shareholders, lenders and investors with monthly, quarterly and
annual financial reports Ensured compliance with loan covenants and tenant in common (TIC) agreements
•
Prepared financial reports on a quarterly, monthly and
annual basis as necessary for management team.
Accomplishments Managed the accounting department including month end close,
financial reporting packages accounts payable, revenue recognition, fixed assets, cash flow forecasting, and account reconciliations
Prepared monthly, quarterly, and annual forecasts including the balance sheet and P&L for 420 multi-site retail locations Performed product profitability analysis and prepared capital expenditure recommendations Performed audits and work with our external auditors to determine the reliability and integrity of financial information and reporting in accordance with GAAP Performed Sarbanes Oxley documentation Managed a staff of sixty including the accounting department, materials, pricing, and mana
Prepared monthly, quarterly, and
annual forecasts including the balance sheet and P&L for 420 multi-site retail locations Performed product profitability analysis and
prepared capital expenditure recommendations Performed audits and work with our external auditors to determine the reliability and integrity of financial information and reporting in accordance with GAAP Performed Sarbanes Oxley documentation Managed a staff of sixty including the accounting department, materials, pricing, and mana
prepared capital expenditure recommendations Performed audits and work with our external auditors to determine the reliability and integrity of
financial information and
reporting in accordance with GAAP Performed Sarbanes Oxley documentation Managed a staff of sixty including the accounting department, materials, pricing, and managed care
Sample Accounting Manager Resume Create Resume EXPERIENCE: Accounting Manager - Cardiovascular Biotherapeutics Inc, Las Vegas, NV03 / 05 - CurrentSEC
Reporting:
Prepares and files periodic
reports (10 - Q, 10 - K, 8 - K, etc) with the SECPrepare and write the Management's Discussion and Analysis of results of operations and
financial condition (MD&A) including footnotes.Prepare quarterly and
annual financial statements — balance sheets, income statements, cash flows, -LSB-...] Continue Reading →
Prepared operational budgets,
financial statements, statistical
reports, costs analysis, monthly invoices, and
annual reports
•
Prepare monthly, quarterly and
annual financial statements and
reports for presentation to higher management for decision - making purposes.
Proficient at assessing
financial and market data, drawing analytical inferences and suggesting
financial plans and courses of action, and
preparing annual reports -LSB-...] Continue Reading →
Responsibilities
Prepared financial reports, maintained budget files and analyzed cost Helped
prepare balance sheets along with monthly and
annual financial reports Analyzed
financial information
Prepared bank deposits Maintained customer records in an accurate and orderly fashion
CORPORATION, Austin, TX Assistant Controller, November, 2013 - Present •
Prepare and issue monthly
financial statements and
reports • Ensure implementation of accounting policies an tackle noncompliance issues • Conduct accounts and subsidiary ledgers reconciliation regularly to identify and rectify any discrepancies found • Supervise and monitor internal accounts control, cash flow and database management • Maintain accountability to the firm's
financial resources • Assist in
annual audits and issue recommendations for policy changes based on same
Prepare annual budgets,
financial reporting, and manage contract administration.
Performed complex governmental fund accounting work,
prepared periodic and fiscal year's accounting statements and comprehensive
annual financial reports.
Prepared operating budgets and
financial reports which assisted staff members in developing streamlined
annual budgets.
Professional Experience TIAA - CREF (New York, NY) 3/2006 — 7/2010 Institutional Client Relationship Manager • Administered retirement plan benefits ensuring accurate, timely, and legally compliant operations • Hired, trained, and supervised junior
financial services staff • Proficient in interpretation and application of IRS, ERISA, and related regulatory schemes • Created and implemented client training program to ensure understanding of company products • Assisted external auditors guaranteeing comprehensive and accurate analysis of business health •
Prepared and presented
annual benefits
report to CFO, senior leadership, and benefits staff • Represented company at industry events, product demonstrations, and
annual benefit fairs • Provided exceptional customer service resulting in client satisfaction and repeat business
Accounting / Accounts Manager, RCI Corporation, Santa Clara, California, 2001 to 2010 Accurately
prepared consolidated monthly and
annual financial statements and
reports and handled diversified accounts payable and receivable and expense control procedures, including bank and account reconciliation, cash receipts, disbursements, finance charges, and billings.
Professional Experience CMG Worldwide Inc. (City, ST) 5/2008 — Present Finance Manager • Oversaw finances of intellectual property law firm generating $ 6 - $ 12 million in
annual revenue • Hired, trained, supervised, and reviewed junior accounting associates and support staff • Authored and implemented corporate and departmental budgets • Analyzed expenses and recommended strategies to cut costs while increasing efficiency • Tracked and managed expenditures of approximately $ 100,000 per week • Verified accuracy of all expenses and revenues ensuring precise
financial records •
Prepared income statements, balance sheets, and monthly, quarterly, and yearly
financial reports • Assisted senior leadership and outside personnel with the
annual corporate audit • Operated and maintained the computerized accounting system and all hard files • Monitored and documented employee expense accounts, credit cards, and purchase orders • Managed general ledger and various credit, checking, stock, and other corporate accounts • Created monthly clientele
reports detailing expenses and revenues from each account • Proficient in Microsoft Money, Quicken, QuickBooks, Tax Cut, Turbo Tax, and other software
Property Management — Duties & Responsibilities Coordinate regular maintenance and repairs as well as emergency resolution through the efficient management of maintenance team and general / sub-contractors, also participating in restoration and renovation projects to ensure timely completion within designated budgets Develop
annual property budget and monitor with monthly variance
reports,
preparing financial statements and various regular and ad - hoc
reports on property status, including occupancy rates and lease expirations Provide relevant oversight and administration to tenant build - outs, utility service termination and transfer, supply purchasing, and building consolidation processes Support firm management to aid in effective customer service, maintenance, and general property operations, delegating important tasks and assignments while overseeing all critical management aspects Organize, manage, and execute all aspects of the lease process, facilitating the ease of operational aspects as well as price / term negotiations, rental agreement reviews, rent collection, impounds, and tenant eviction as necessary Generate increased revenue through tenant referrals as well as consistent lease renewals through effective service and timely issue resolution Identify and develop talent among hired staff and property personnel, utilizing focused training efforts within a performance - based work environment designed to utilize the critical strengths of assistants, supervisors, and techs Provide continuous assessment of property usage and needs, while furnishing oversight and guidance regarding effective preventative maintenance programs, renovation considerations, and cost reduction / control measures Maintain a strong working knowledge of the leasing property, respective marketplace, and general economic trends Act as a liaison between clients, vendors, sales personnel, support staff, and senior management to facilitate information flow and drive operational efficiency
Reporting to Landlord -
Prepare and circulate monthly
financial reports showing both the current monthly figure and
annual figure to date.