Detail-oriented team player with strong organizational skills. Ability to handle multiple projects simultaneously with a high degree of accuracy.Focused on smoothly overseeing financial, personnel and operational facets. Organized and dependable candidate successful at managing multiple priorities with a positive attitude. Willingness to take on added responsibilities to meet team goals.
Overview
11
11
years of professional experience
Work History
Finance & Development Director
Brockton Day Nursery, Inc
03.2017 - Current
Interfaced with Board of Directors and worked closely with Executive Director.
Partnered with Department heads to create and revise annual budget for board review and approval.
Checked payroll, vendor payments, commissions and other accounting disbursements for accuracy and compliance.
Prepared internal and regulatory financial reports, balance sheets and income statements.
Analyzed business processes to identify cost savings and operational efficiencies.
Prepared cash flow projections, cost analysis and monthly, quarterly and annual reports.
Evaluated and negotiated contracts to procure favorable financial terms.
Sought out grant funding, maintained relationships with contributors and foundations. Managed grant expenses, coordinated with program directors to ensure grant compliance and grant reporting.
Comptroller
The Gamm Theatre
11.2012 - 03.2017
Attended meetings regarding company portfolio and other financial examination and supervisory matters to offer insight into state of finances of organization.
Reviewed and approved allocation and management of organization use of federal and state funding.
Implemented and regularly reviewed financial controls to generate accurate and reliable financial data.
Performed banking, business administration and financial tasks to ensure accuracy of Financial Statements.
Checked payroll, vendor payments, commissions and other accounting disbursements for accuracy and compliance.
Established internal audit procedures to validate and improve accuracy of financial reporting.
Prepared cash flow projections, cost analysis and monthly, quarterly and annual reports.
Improved overall financial reporting by streamlining control processes and reporting structures.