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Accounting Sales

Mississauga, ON, Canada
September 22, 2020

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Phone: 416-***-****

Mississauga, Ontario


CPA PEP student with multi-disciplinary, cross-functional expertise in a variety of fields including but not limited to: Finance, Client Services, Banking, Accounting, and Information Technology. SKILLS, CERTIFICATIONS & SOFTWARE CAPABILITIES:

● Strong written and verbal communication skills

● Platforms: Microsoft Windows, Mac OSX, Linux, Java

● Microsoft Office

● Analyze quantitative and qualitative information and provide recommendations

● Access, Power BI, Sage 50: QuickBooks, Profile, CaseWare Cloud and CCH iFIrm EDUCATION:

BAcc, Bachelor of Accounting Sept 2015- July 2018

● Brock University, Goodman School of Business, St. Catharines, ON Business Administration - Accounting Diploma Jan 2014 – May 2015

● Sheridan College, Pilon School of Business, Mississauga, ON Specialization – Accounting


Chartered Professional Accountants (CPA) Expected Completion- September 2020

● CPA PEP- Core 1 Completed

● CPA PEP- Core 2 Completed

● Taxation Elective Completed

● Assurance Elective Completed


Jan 2020- Present

Staff Accountant: TPS Accounting Professional Corporation Role: Independently and accurately compile year end financial statements following the appropriate accounting framework and industry guidelines while assisting in providing value added tax strategies and solutions.

• Prepare financial statements by gathering and analyzing information from general ledger’s and other financial information provided by clients

• Analyzes information and options by developing spreadsheet reports; verifying information

• Apply payments and accrue year end expenses; reconciling accounts and documenting transactions

• Answers accounting, tax and financial questions by researching and interpreting data.

• Calculate and reconcile GST/HST remittance to determine year end payment/refund and determine if instalments are appropriate for the following tax year

• Prepare T2 tax returns and appropriate supporting documentation

• Evaluate tax regulations and suggest policies that diminish tax burden Oct 2018- Feb 2020

Junior Financial Accountant: Power Beverage Inc, Mississauga, ON Role: Supporting PowerBev and PUR brands by ensuring processes and internal controls are followed through detailed review and comparison of physical and system documents

● Daily paperwork reviewing for accuracy, completeness, and compliance

● Reconcile daily deposits against sales system, reporting & follow-up on discrepancies

● Sub-distributor reconciliations

● Historical invoice review to assist in the collections process

● Maintaining financial records by analyzing balance sheets, general ledger accounts and record systems

● Providing financial status information by preparing special reports; completing special projects

● Assisting senior accountants in the preparation of monthly/yearly closings

● Run AR aging reports, charge credit cards and apply payments

● Analyze overdue accounts and follow up with customers for collection

● Reconcile remittances and EFT’s for national accounts Feb - May 2018

Tax Specialist: CVITP-CRA Tax Program St. Catharines, ON

● Assisted with the preparation of the annual tax provision and related tax accounting

● Responded to related tax correspondence and research issues as they arise

● Managed and troubleshooted tax software

● Advised clients in the tax preparation process and filed tax documents

● Ensured the confidentiality of each client by following all procedures regarding information handling

● Coached fellow associates

Oct 2012 – Feb 2018

Cashier: Sporting Life, Toronto, ON

Role: Operated point-of-sale devices in order to complete sales transactions that included cash, checks, credit cards, gift cards, store credits, and marketing promotions. Highlights listed below:

● Examined and analyzed transactions resulting in loss prevention.

● Coached and trained new employees.

● Prepared deposit slips and ensured all paperwork is filed and accounted for with end of day POS.

● Organized work areas ensuring all spaces were visually pleasing. June 2010 – Aug 2012

Central Teller: Royal Bank of Canada, Mississauga, ON Role: Served customers by completing account transactions, responding to client inquiries and requests, handling government remittances, and overseeing the maintenance of ATMs by third parties. Highlights listed below:

● Provided account services to customers by receiving deposits and loan payments; cashing checks; issuing savings withdrawals; recording night and mail deposits; selling cashier's checks, traveler's checks, and series e bonds; answering questions in person or on telephone; referring to other bank services.

● Complied with bank operations and security procedures by participating in all dual-control functions; maintaining customer traffic surveys; auditing other tellers' currency; assisting in certification of proof.

● Audited general ledgers to assess and correct errors.

● Cross-sells bank products by answering inquiries; informing customers of new services and product promotions; ascertaining customers' needs; directing customers to a branch representative.

● Recorded transactions by logging cashier's checks, traveler's checks, and other special services; preparing currency transaction reports.

● Reconciles cash drawer by proving cash transactions; counting and packaging currency and coins; reconciling loan coupons and other transactions; turning in excess cash and mutilated currency to head teller; maintaining supply of cash and currency.

● Responsible for balancing Canadian, US and foreign currency blotters at the end of the day.

● Complied with bank operations and security procedures by participating in all dual-control functions; maintaining customer traffic surveys; auditing other tellers' currency; assisting in certification of proof.

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