Proficient in General Ledger Accounting, Accounts Payable (AP), Accounts Receivable (AR), Journal Entries, and Intercompany Transactions.
Experienced in Monthly Reconciliations, Inventory Adjustments, and maintaining financial accuracy across multiple property portfolios.
Skilled in Financial Reporting, Gross Margin Analysis, EFT & Cheque Runs, and Balance Sheet Reconciliation to ensure fiscal integrity.
In-depth knowledge of Provincial Tax Systems (ON, AL, QC), Income Tax Law Implementation, and preparation of Personal Tax & Information Returns.
Strong background in Technical Documentation, End-User Training, and Cross-Functional Collaboration to streamline accounting operations.
Excellent Problem-Solving, analytical, and communication skills
EDUCATION
Bachelor of Business Administration
Humber College (2022)
PROFESSIONAL SUMMARY
Results-oriented Property Accountant with over three years of experience in financial and property accounting across commercial and residential portfolios. Demonstrated expertise in full-cycle accounting, lease administration, and financial reporting with proficiency in Yardi Voyager, Sage 300, and QuickBooks. Adept at preparing accruals, managing rent rolls, and reconciling balance sheets to ensure precise financial control and compliance with GAAP standards. Experienced in budgeting, variance analysis, and cash flow management, supporting data-driven decision-making for property operations. Skilled in bank reconciliations, tenant billing, and CAM (Common Area Maintenance) reconciliations, ensuring accuracy and timely reporting. Known for optimizing accounting workflows, improving audit readiness, and strengthening internal control systems.
PROFESSIONAL EXPERIENCE
Accountant
ProViso Consulting (Client – TD Bank) | India | May 2025 – Present
Performed daily reconciliations for internal, in-transit, and high-risk accounts, ensuring accuracy, compliance, and timely resolution of discrepancies.
Collaborated with BAU and cross-functional teams to investigate and resolve complex reconciliation and accounting issues, strengthening process efficiency.
Posted accurate journal entries to correct accounting gaps and maintain integrity in financial reporting.
Supported internal and external audits by preparing detailed reconciliation data and assisting in financial research and reporting activities.
Monitored fund movements to identify irregularities, reconciled discrepancies within strict deadlines, and minimized financial risk exposure.
Escalated high-risk or non-standard transactions promptly, ensuring adherence to TD Bank’s compliance and risk management protocols.
Property Accountant
Li Limited Group of Companies | India | May 2022 – Feb 2025
Managed end-to-end property accounting for commercial and residential portfolios, ensuring timely and accurate financial reporting.
Prepared monthly management and asset management fee schedules, along with rent rolls, accruals, prepaids, and comprehensive cash flow analysis.
Processed cash receipts, accounts payable and receivable transactions, and journal entries using Yardi Voyager 7S with precision and efficiency.
Executed EFT payments and cheque disbursements, maintaining strong internal controls and audit readiness.
Assisted in tenant accounting operations including move-ins, deposits, maintenance adjustments, and reconciliations to ensure accurate lease accounting.
Contributed to budget formulation, quarterly reviews, and year-end closings, enhancing financial accuracy and operational transparency.
Collaborated with property management and finance teams to streamline reporting workflows and support business decisions.
Tax Technician / Income Tax Analyst
BDO Canada LLP | India | Jan 2021 – Apr 2021
Processed over 1,600 individual, estate, and trust tax returns during the 2021 tax season with high accuracy using TAX PREP software.
Accessed and analyzed CRA client data to verify accuracy, minimize tax liabilities, and ensure regulatory compliance.
Served as a key member of the OPGT team under the Ministry of Attorney General, supporting integrated tax service operations.
Liaised with CRA to resolve discrepancies, updated PGT databases accurately, and ensured timely information flow across teams.
Delivered precise and compliant tax documentation, contributing to client satisfaction and audit readiness.