Jayden Kim, CPA, CGA

Director of Business Operations at ConnectureDRX
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Contact Information
us****@****om
(386) 825-5501
Location
Gatineau, Quebec, Canada, CA
Languages
  • English Professional working proficiency
  • Korean Native or bilingual proficiency

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LinkedIn User

Jayden has been our assistant controller for almost 2 years now. over this time I've seen firsthand and can attest to his knowledge and ability to execute on our financial initiatives. Jayden has become a significant value added member of our team and has really helped us to drive growth within our organization from a financial perspective. I'm confident in stating that any organization of which Jayden is a part will come to see the same positive impact from Jaden's contributions that we have come to rely upon at Picis.

Julia Zhu

Jayden worked as my financial analyst in the past 18 months. I found he was a brilliant and hardworking person. As soon as he set his targets, no matter it was a daily task or a career goal, he was determined, working hard to achieved them. Jayden was proficient in accounting and enjoyed sharing his expertise. Every time I consulted him about accounting issues I encountered, he always figured out quickly and pointed out suitable solutions for me. Jayden was also a technology orientated person. He was appointed as

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Credentials

  • CPA, CGA
    Chartered Professional Accountants of Ontario (CPA Ontario)
    Oct, 2016
    - Oct, 2024

Experience

    • United States
    • Information Technology & Services
    • 100 - 200 Employee
    • Director of Business Operations
      • Nov 2022 - Present

    • Canada
    • Software Development
    • 700 & Above Employee
    • Financial Controller
      • Nov 2019 - Nov 2022

    • Assistant Controller
      • May 2017 - Nov 2019

    • Canada
    • Renewable Energy Semiconductor Manufacturing
    • 700 & Above Employee
    • Accountant
      • Sep 2016 - May 2017

      This role provides unique focuses in two areas: full cycle accounting of company owned assets and accounting for derivatives to mitigate an exposed financial risk. It includes developing company's hedging strategy, working closely with traders in various energy markets in North America. As a second focus of the role, it provides a broad knowledge in full-cycle accounting for operating companies and holding companies. It includes bank reconciliation, variance analysis, balance sheet reconciliations, intercompany transactions, and preparing various financial reports. Show less

    • Canada
    • Software Development
    • 700 & Above Employee
    • Financial Analyst
      • Dec 2014 - Sep 2016

      • Maintain WIP schedule and prepare entries for revenue recognition• Analyze contracts for each projects • Conduct monthly meetings with project managers • Reconcile project billings • Calculate commission expenses and accruals• Generate monthly bookings report • Perform monthly G/L details and quarterly variance analysis • Manage account receivables • Maintain monthly maintenance schedule and prepare entries for revenue recognition• Maintain various balance sheet reconciliations• Overview bi-weekly A/R meeting to managers• Perform monthly profitability analysis Show less

    • Junior Analyst/Accounts Receivable
      • Jan 2014 - Nov 2014

      • Maintained monthly maintenance schedule and prepare entries for revenue recognition• Maintained various balance sheet reconciliations• Presented bi-weekly A/R meeting to managers• Prepared month-end invoicing and reconciliation• Managed account receivables

  • Dan R Equipment
    • Ottawa, Canada Area
    • Accounts Payable Clerk
      • Nov 2013 - Jan 2014

      • Prepared invoices to key into the accounting system • Prepared and distribute cheques for account payable according to due dates • Prepared monthly accounting activities • Prepared invoices to key into the accounting system • Prepared and distribute cheques for account payable according to due dates • Prepared monthly accounting activities

  • Crazy Canuck
    • Waterloo, On
    • Bookkeeper
      • Dec 2009 - Nov 2011

      • Developed system to account for financial transactions by establishing a chart of accounts • Maintained subsidiary accounts by verifying, allocating, and posting transactions • Balanced subsidiary accounts by reconciling entries • Maintained general ledger by transferring subsidiary account summaries • Developed system to account for financial transactions by establishing a chart of accounts • Maintained subsidiary accounts by verifying, allocating, and posting transactions • Balanced subsidiary accounts by reconciling entries • Maintained general ledger by transferring subsidiary account summaries

Education

  • Chartered Professional Accountants of Canada (CPA Canada)
    Accounting Designation
    2013 - 2016

Community

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