Colliers International Canada
May 2015 — Present
• Performed full cycle accounting, overseeing accounts payable and receivable for 15 properties.
• Produced monthly financial statements, annual operating budgets and year-end adjustments.
• Responsible for accruals, variance analysis, rent rolls, bank reconciliations and GST remittances.
• Experienced in managing trust accounts, bi-weekly cash flow analysis & ad-hoc financial analysis.