Consultant
CurrentBMO Harris Bank• Working closely with the Accounting team to build a suite of .NET web applications to manage and automate the application of incoming and outgoing cash payments to the Accounts Receivable system in use at the bank and to manage intra-bank transfers of funds to keep the bank within Federal regulations.• Automating the reconciliation of multiple tax accounts in the Accounting System with the department’s general ledger and developing reporting metrics to aid in the filing of federal, state, and local tax returns.• Revamping the process in place for the Accounting team to manually create general ledger entries and making it available as a service to the rest of the applications in place at the bank to cut down on validation issues.• Building on top of previously existing applications in order to book new deals into the Accounting System and to automatically generate the necessary invoices that are required to bill the customer, which are not already handled by the Accounting System.