• CGA, ACCA member
  • Four years experience in preparing monthly financial reports, forecasting and budgeting, GST remitting, and reconciling monthly, quarterly, and year-end operating costs recoveries
  • Proficiency with Quickbooks and various ERPs - Yardi, Spectra, and MRI
  • Advanced Excel skills (Pivot Tables, V-lookup, Macros, etc)
  • Solid understanding principles and implementations of ASPE and IFRS
  • Strive to learn new things or systems and adapt to changes quickly with an open mind

Work experience

Work experience


Feb 2015 - Present
The Headhunters Recruitment Inc.

Property Accountant

Dec 2012 - Feb 2015
McCor Management

­A team of fifteen accountants in a national commercial property management company, reporting to Accounting Manager and Controller.

  • Current portfolio includes properties in Edmonton, Calgary, and Saskatchewan
  • Prepare monthly financial reports, variance analysis, GST remittances, cash-flow control/forecasting, and other property accounting reports in an accurate and timely manner
  • Assist property managers with annual budgets for assigned properties as well as three-year projection
  • Collate required documents for interim, annual audits, trust audits, and recoveries audits
  • Communicate and coordinate with property managers in Edmonton, Calgary, and Regina to meet financial accounting requirements by the clients

Key Accomplishments:

  • ­Suggested and implemented a new item to check off on the monthly reports review checklist to track how many times reports were reviewed, which the company adopted throughout the property accounting department, encouraging employees to review as many times as they can and resulting in a 75% decrease in reports returned for revision rate
  • Distributing more than $3 million excess funds to the clients by closely/effectively monitoring cash-flow in 2014
  • Achieved Teamwork Award twice for helping colleagues, and carrying on additional responsibilities
  • Met deadlines for monthly reports, monthly rent billings, budgets and other recoveries reconciliations

Accounting Clerk

2011 - 2012
York West Asset Management Group Inc

A team of six accounting clerks in a residential property management company, reporting to Controller.

  • ­Perform full cycle accounting for 27 condominium properties totaling more than 1,900 residents on monthly basis including A/R, A/P, bank reconciliation, financial statements preparation and A/P for additional 15 rental properties

Key Accomplishments:

  • The accounting department adopted my suggestion to save WCB clearance letters in the shared drive so that other colleagues didn't have to pull out the letters for each vendor by entering company's information and vendor's information on WCB website. It saved a significant amount of time for everyone especially during the two cheque runs every month
  • Submitted monthly EFT files for 110 properties to the bank to ensure the condo fees were deposited on 1st of each month
  • Coached and assisted two new colleagues to take on their jobs responsibilities



Bachelor of Applied Business Administration, Accounting

Sep 2009 - Apr 2012
Northern Alberta Institute of Technology



Chartered Certified Accountant

Apr 2015 - Present
Association of Chartered Certified Accountants

Chartered Professional Accountant

Feb 2015 - Present
Chartered Professional Accountants of Alberta

Certified General Accountant

Certificate in International Financial Reporting

2014 - 2014
Association of Chartered Certified Accountants

XBRL Foundation Certification

2014 - 2014
XBRL International/ITpreneurs


Homeward Trust Edmonton - Data Clerk

Feb 2016 - Present

ASSIST Community Services Centre - General Volunteer/Tax Clinic

2015 - Present

The Carrot Community Art Coffeehouse - Barista Volunteer

Oct 2009 - Mar 2014