Cammy Stein
**-** *********** ****. ***. ***
Forest Hills, New York 11375
E-Mail: **********@*****.***
Summary
I am a detail-oriented bookkeeping professional with 20+ years experience applying financial and managerial accounting practices. I am proficient with Quick Books Pro and other accounting software. I have worked as a controller and bookkeeper as well as a consultant, assisting companies to streamline their accounting departments and choosing software that suits their needs.
Experience
June 2019-January2021 Aequitas Packing Co.
Long Island City, NY
Accounting Manager
Financial management of white glove moving company and storage. Job entailed
A/p and A/R, cash receipts and bank reconcilitions.
Responsible for processing payroll for 20+employees
Liaison with Accountant.
August 2016-May 2018 Space Marketing Shop Inc.
Long Island City, NY
Accounting Manager
Financial management of 2 real estate offices with 19 agents. The position involved A/P and A/R, cash receipts and bank reconciliations.
Responsible for producing commission checks for agents and running payroll through ADP for salaried employees.
Worked with accountant as liaison between company and accounting firm
March 2014-March 2016 The Letap Group
Long Island City, NY
Bookkeeper
Financial management of 5 hotels located in New York City and Long Island City, including 2 hotels that are presently under construction. This involved, cash receipts, bill paying and all bank reconciliations.
Responsible for the payroll of all employees in excess of 80+.
Worked directly with accountant as liaison between hotels and accounting firm.
Greatest accomplishment was to reduce amount of paper generated by all hotels. System was devised to scan all information by year, month, and vendors.
July 2012-June 2013 Cooper Square Realty, Inc.
New York, New York
Financial Analyst
Financial management of 30 real estate properties (coops,
condos, etc.)
Responsible for creating 2 monthly financial reports for each property
Prepare annual budgets
Cash Flow Management
Liaison between individual building accountants and management.
Oversight of all cash receipts and reconciliation of bank statements.
May 2006-August 2011 Elite Management Inc.
Bayside, New York
Controller
Financial management of 25 real estate properties (coops, condos, etc.)
Creating monthly management reports for all properties
Setting up annual budgets
Cash flow management
Payroll for staff at all properties
Liaison between individual building accountants and management
Oversight of cash receipts and performance of bank reconciliation
Accomplishments
General Ledger Accounts - Maintained accurate accounts, including cash, fixed assets and accounts payable.
Accounts Payable/Receivable-Controlled all phases of receivables and payables for all buildings.
Expense control
Accounting Skills-Operated computers programmed with accounting software to record, store and analyze information.
December 2004-May 2006
Consultant
Assisting with accounting software selection, as well as installation and training.
Reorganizing financials
Implementation of day to day business procedures and systems.
International Duplication Centre
Seno Jewelry/Ippolita LLC
Quadrozzi Concrete
The Daily Blossom
July 1997-June 2004 Jan Jewelry Designs, Inc
New York, New York
Controller
Management of 4+ million dollars in revenue yearly
Streamlined and computerized accounting procedures
Administration of payroll and benefits for 80+ employees
Supervision of customer service department
Responsible for all books and records, accounts payable and receivables
Highlights
Accounting Software Proficiencies
Quick Books Pro Intuit Payroll
ADP Payroll Peachtree
Excel
Education
Boston University
Boston, Massachusetts
Associates Degree