Senior Accounting Clerk
Current- Daily and Monthly Bank account maintenance and reconciliations-G/L account reconciliations-Manage and record deposits for condo developments and subdivisions; created and maintained Excel and conveyancer reports; monthly client and insurer reporting; Project Advances; Teranet searches;-Assist with residential, commercial, real estate and corporate closings-Initiate and approve wire transfers; issue cheques; - Manual Billing & LEDES billing via serengeti -Accounts Receivable-Accounts Payable-Data Entry; PC Law record keeping -Client, Tarion and Excess insurer monthly reporting-Generate Financial Reports