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Accounting Software

Location:
Houston, TX, 77057
Salary:
50000.00
Posted:
August 23, 2012

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Resume:

Objective:

To acquire a managerial or administrative title where I can utilize my accounting skills and knowledge while fulfilling a challenging and rewarding position in Financial and Budget analysis.

Skills:

Over twenty years progressive responsibility and experience dealing with:

- Yardi Voyager Software - Petro Data Software

- Peachtree Construction Software - Quickbooks Construction Software

- 10 Key by Touch - Innovative in establishing priorities

- Knowledge of Microsoft Office applications: - Strong supervisory skills

Word

Excel

Access

Career Summary:

Detail and results oriented individual with strong analytical and entrepreneurial skills in accounting and financial systems. My experience includes the construction of three apartment Complexes in costs of $6,000,000 each. Each complex was completed on schedule and within their projected budgets. I have also supervised the accounting functions of fourteen Apartment Complexes, eleven of these are tax credit complexes whose gross potential rents totaled $17,000,000. Through efficient cost containment we were able to maintain a debt ration between 2.5% and 3.0.

Experience in reporting the financial position of the companies to the owners and investors. Responsible for the Supervision of the accounting functions of multiple employees in accounts receivable, payroll, accounts payable. My reports and supervision included monthly and year end journal entries and reconciliations in order to expedite fieldwork and produce audited financial statements in a timely manner.

I have also prepared reports that summarized and forecasted company business activity bases on past, present and expected operations. I used various forecasting techniques, such as moving averages, and other econometric models, to establish the forecasted figures used in budgeting. Results: Increase in Gross Potential Rents to cover projected expenses and service debt.

I also assisted in the process of selecting the company’s new accounting software for the Apartment property management and petroleum distribution fields, and supervised its software conversion.

WORK EXPERIENCE

2010 - 2012 Landry’s Inc. Houston, TX

Accountant

Month end close and journal entries for eight restaurants, reconciliation of cash, credit and gift card purchase and receipts. Enter monthly utilities, accruals, monitored capital expenditures for concept controller.

Reported the monthly variances of budget vs. actual expense to the concept controller.

2003 - 2009 Itex Property Management Port Arthur, TX

Controller

Property Management for Thirteen Apartment Complexes totaling 2160 units for commercial, tax credit and 50059 properties.

Reports the financial position of company to the owner and investors.

Supervises the overall accounting functions of the business

Coordinates year end audits in order to expedite fieldwork and produce audited financial statements on a timely basis

Exams all purchases to justify that they meet managerial guidelines

Assisted in selection of company business software and responsible for the conversion from Link Pro to Yardi Voyager software.

Maintain and supervise the overall accounting functions of seven other enterprises, which are in the business of property investment and development and construction.

1998 – 2003 Swati Enterprises Port Arthur, TX

Controller

Reports the financial position of company to the owner

Supervises the overall accounting functions of the business

Coordinates year end audits in order to expedite fieldwork and produce audited financial statements on a timely basis

Reviews and remedies payroll and tax reports

Exams all purchases to justify that they meet managerial guidelines

Responsible for converting company accounting software from Jobber to Petro-data.

1996-1998 Gentle Home Health Care, Inc. Beaumont, TX

Controller

Supervised the accounting department and managed the billing for the company

Prepared the year-end tax and cost reports

Organized the business’s interim cost

Conveyed all reports to the Board of directors



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