Printing tool Download PDF


To obtain a challenging and rewarding position in an established corporation where my education and professional experience will be utilized and enhanced.

Work experience

Jun 2008Present

Senior Business Analyst

Triple Canopy, Inc.

Responsible for all project financial functions, including planning, tracking, analysis and reporting on multiple contracts of varying type, size, and complexity.  The ability to lead and direct others regarding the project control processes and requirements are crucial to this position.

Ensure accurate revenue recognition, monitor acutal costs and commitments, develop and analyze estimates at completion, prepare portions of program review presentations, and produce financial deliverables as required per contract for both internal and external use.  Interface with members of Finance, Program Managemetn, Contracts, Pricing, and Procurement. 

·Review monthly project costs and revenue, prepare variance reports

·Prepare monthly program review presentation, present monthly operating results to management

·Review monthly invoices and prepare unbilled reconciliation

·Prepare detailed estimates to complete for assigned projects

·Assist project managers with annual budget preparation

·Monitor contract funding

Aug 2005Jun 2008

Accounting Specialist

Vaxcom Services, Inc.

·Managed all aspects of the company’s largest contract, including budgeting, forecasting, and reporting.

·Generated monthly contract status reports

·Administered payment for over 200 Independent Contractors

·Analyzed variances among budgeted amounts versus actual amounts

·Created monthly invoices for Time and Material, Cost Plus, and Fixed Price Contracts

·Controlled Accounts Receivable cash flow

·Input Accounts Payable vouchers and processed weekly check run

·Assisted in month end closing procedures

Sep 2003Aug 2005

General Ledger Manager

CDM Federal Programs

·Supervised Accounting Assistant

·Performed month end closing procedures

·Presented financial reports to Controller and CFO

·Reconciled balance sheet accounts

·Analyzed indirect accounts

·Processed monthly allocations

·Prepared journal entries

·Input and reviewed budgets

·Applied payments to client accounts


Dec 2008Nov 2010


Western Governors University
Jan 2007Jun 2008


University of Phoenix


Microsoft Office