Alex Luna
Capital Project Accountant at Vancouver Fraser Port Authority- Claim this Profile
Click to upgrade to our gold package
for the full feature experience.
-
English Full professional proficiency
-
Spanish Professional working proficiency
Topline Score
Bio
Experience
-
Vancouver Fraser Port Authority
-
Canada
-
Government Administration
-
300 - 400 Employee
-
Capital Project Accountant
-
Oct 2016 - Present
-Forecasting, budgeting and tracking of large scale infrastructure programs -Coordinate with a number of consultants to manage financial and contractual obligations -Creating ad hoc financial reports and analysis
-
-
Capital Accounting Assistant
-
Jul 2011 - Oct 2016
• Helped plan, create and implement a new capital coding structure, capital reporting system and capitalization procedures • Reviewed capital costs to reconcile and concluded dated capital projects • Work with several stakeholders including Project Managers and A/P to reconcile project costs and capitalize completed work under construction projects. • Assisted with year end Audit procedures pertaining to Capital as well as general ledger accounts. Monthly reconciliation of General… Show more • Helped plan, create and implement a new capital coding structure, capital reporting system and capitalization procedures • Reviewed capital costs to reconcile and concluded dated capital projects • Work with several stakeholders including Project Managers and A/P to reconcile project costs and capitalize completed work under construction projects. • Assisted with year end Audit procedures pertaining to Capital as well as general ledger accounts. Monthly reconciliation of General Ledger accounts as well as coding tracking and of all maintenance invoices
-
-
-
Live Nation Entertainment
-
United States
-
Entertainment Providers
-
700 & Above Employee
-
Accounting Assistant
-
Jun 2008 - Jun 2011
• Prepared various A/P related Journal entries including accruing, inter-company payments, and foreign exchange adjustments • Help with month end closing procedures, A/R, bank reconciliations, petty cash and other accounting procedures • Perform vendor information updates such as payment terms, address changes, vendor setups, etc • Prepared various A/P related Journal entries including accruing, inter-company payments, and foreign exchange adjustments • Help with month end closing procedures, A/R, bank reconciliations, petty cash and other accounting procedures • Perform vendor information updates such as payment terms, address changes, vendor setups, etc
-
-
Education
-
British Columbia Institute of Technology
Bachelor's Degree, Accounting and Finance -
British Columbia Institute of Technology
Associate's Degree, Accounting and Finance