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Accountant Accounting

Location:
Toronto, ON, Canada
Posted:
January 27, 2019

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Resume:

*** **** ******,

Newmarket, Ontario

L*Y *L*

HOME: 905-***-****

MOBILE: 647-***-****

EMAIL:*******@*****.**

Thura Kumar

Objective

To utilize my experience and skills in the field of accounting and finance to obtain a progressive position where I have an opportunity to efficiently contribute to growth within a rewarding organization.

Profile

15 Years of experience as a Senior Service Accountant with Unisource Canada Inc.

5 Years as Controller

5 Years Payroll Experience on ADP Pay at Work & Ceridian

Proficiency in Excel, MS Word, QuickBooks, Simply Accounts, ACCPAC, Business Vision, Great Plains, ERP System, Adagio, Reynolds & Reynolds & ADP Dealer Suite.

Experience

Accountant

07/2018 - Present

Andrew Weening LLP Chartered Professional Accountants, Newmarket.

Monitor Business Activities of Various Customer Accounts.

Preparation of Financial Statements for Customers.

Analyze, Reconcile, Balance and Maintain Accounting Records

Review and Process Routine Accounting Data for Revenue.

Expenses Control and Research Processing Problems.

Perform Miscellaneous Job Related Duties as Assigned.

Budget and Year End Closing.

Vice President, Finance & Business Intelligence

10/2017 – 06/2018

Helping Hands, Orillia.

Manage Finance Department.

Negotiate Funding Agreement with the Ministry of Health.

Month-End Reconciliation of Bank & G/L Accounts

Remittance for Payroll Taxes, GST/HST and WSIB.

Preparation of Monthly Financial Statements and Budget.

Cash Flow, Expenses Control, Purchasing and Receivables.

Controller

07/2014 – 08/2017

Betz Cut Stone Ltd.

Month-End Reconciliation of Bank & G/L Accounts

Fixed Asset Depreciation Schedules and Amortization

Prepared Payroll & Remittances on ADP Pay @ Work

Accounts Payable & Cheque runs on Business Vision

Coordinated Employee Benefits & All Payroll Related Questions

Remittance for HST and WSIB

Cash Flow, Expenses Control & Purchasing

Accountant

04/2013–05/2014 Contract

Saudi American Bank, Riyadh, Kingdom of Saudi Arabia

Month-End Reconciliation of All G/L Accounts & Floor Plan

Fixed Asset Schedules and Amortization

Cash Flow & Buying Foreign Currency Forwards

Handling of all Letters of Credit & Credit Intermediation

Investment Banking and Securities Dealings

Accountant

10/2012–03/2013

Goldview Property Management Ltd., Toronto, Ontario

Preparation of Financial Statements for Managed Buildings

Analyze, Reconcile, Balance and Maintain Accounting Records

Review and Process Routine Accounting Data for Revenue.

Expenses Control and Research Processing Problems

Finance Manager

10/2008–09/2012

Community Living Georgina, Sutton Ontario

Month-End Closing

Reconciliation of Bank & G/L Accounts

Prepared Payroll & Remittances on Ceridian Software & ADP

Accounts Payable & Cheque runs on Adagio & Business Vision

Coordinated Employee Benefits & All Payroll Related Questions

Senior Service Accountant

11/1992 – 07/2008 Unisource Canada Inc Mississauga, Ontario

Prepare daily sales reports & month end financial statements

Worked on AS 400 main frame computer system

Review accounts receivable ageing reports, maintain customer master files, billing adjustments and cash applications

Internal audit and prepare annual company budget.

Education

Chartered Accountant, Sri Lanka.

Institute of Cost & Management Accounts, UK.

I have continued to update and upgrade my skills by attending

Employer sponsored seminars and courses on various

Accounting and information technology related disciplines.



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