Objective
Work within a company to participate in attaining the Company’s Goals and insuring profitability by providing information that helps management run the company in the most efficient and progressive way possible. In addition, adhering to Financial Standards required by various agencies to maintain the integrity of the company.
Education
BS Degree in Accounting/Finance from Loma Linda University
Experience
Zodiac Aerospace (Cost Accountant/ Financial Analyst) 2012 –2018
nMaintain a Standard Cost System for a manufacturer in the Aerospace Industry
nManagement reports dealing with Inventory, Manufacturing Variances, Costing, Sales Projections, and various other reports both on a divisional and corporate level.
nMonth End Journal Entries to generate Monthly Financial Statements and the various reporting that ensues.
nContributing in both Yearly external CPA audits and Internal Audits conducted by Corporate
All Coast Forest Products (Financial Accountant) 2010-2012
nFinancial Accountant including month-end statements, reports to management, maintaining general ledger.
nAccount reconciliations of all Balance Sheet accounts.
nADP payroll for all divisions.
nSales Tax and various Governmental Forms
Discus Dental (Cost Accounting Manager 2007-2009
nMaintained Cost Account System for a manufacturer of Dental Products
nReporting to Management of Manufacturer Variances and related issues.
nFinancial reporting and General Ledger involvement with month end Financial Statements.
nReconciliation of Balance Sheet Accounts and expense explanations to management.
Advanced Innovation West (Accounting Manager 2004-2007
nManufacturing and Financial Reports to Management
nMaintaining Standard Cost System.
nInventory accuracy and reporting.
nControlling an extensive Debit policy to Prime Vendors resulting in Millions of dollars annually.
nResponsible for attaining leases for capital expenditures.
nReporting to outside State and Federal agencies.
nReporting for External and Internal Audits.
Pemco Engineers (Controller/ Accounting Manager 1992-2003
nResponsible for all areas of Accounting: Inventory, Accounts Payable, Accounts Receivable, Fixed Assets, Payroll, Maintaining Standard Cost System
nBalance Sheet Account Reconciliations done monthly.
nCompiling Financial Statements, Income and Balance Sheet Statements
nCorporate reporting for Management
nReporting for Divisions for outside Banking requirements
nObtaining Leases for Capital expenditures.
nResponsible for all Internal and External Audits
nResponsible for all Collections and Disbursements for the Division.