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Credentials

  • Real Estate Sales Associate
    Keller Williams Realty, Inc.
    Jan, 2019
    - Oct, 2024
  • Certified Public Accountant
    State of Georgia
    Nov, 1984
    - Oct, 2024

Experience

    • United States
    • Real Estate
    • 1 - 100 Employee
    • Director of Finance
      • Feb 2021 - Present

      Moon River Capital is a real estate investment firm that finds ways to align landowners’ goals for their properties with the most efficient financial options. Moon River Capital is a real estate investment firm that finds ways to align landowners’ goals for their properties with the most efficient financial options.

    • United States
    • Real Estate
    • 1 - 100 Employee
    • Realtor
      • Jan 2019 - Present

      Servicing real estate needs in the Lowcountry area. Licensed in both Georgia and South Carolina. Please visit my website at https://khellmann.kw.com. Servicing real estate needs in the Lowcountry area. Licensed in both Georgia and South Carolina. Please visit my website at https://khellmann.kw.com.

    • Owner and Solutions Consultant
      • Apr 2018 - Present

      Accounting, Internal Audit and Business Management Consulting. Accounting, Internal Audit and Business Management Consulting.

    • United States
    • Environmental Services
    • 100 - 200 Employee
    • CFO
      • Jun 2015 - Apr 2018

      Managed accounting function for Private Equity owned Company with multiple locations across the Southeast. Transition team member during recent acquisition by new Private Equity Group. Managed accounting function for Private Equity owned Company with multiple locations across the Southeast. Transition team member during recent acquisition by new Private Equity Group.

    • United States
    • Retail
    • CFO
      • Jun 2013 - Jun 2015

      Managed accounting and human resources personnel for Club and Property Owners’ Association of 400 member, 1,800 acre master-planned community. Managed accounting and human resources personnel for Club and Property Owners’ Association of 400 member, 1,800 acre master-planned community.

    • United States
    • Financial Services
    • Audit Director - Corporate Risk Mgt Function, SunTrust Audit Services
      • Mar 2010 - Jun 2013

      Audit of enterprise risk assessment/management strategies in Corporate Risk Management (CRM) function. Audit liaison for Model Risk Management Group and OREO/SAD functions within CRM. Audit of enterprise risk assessment/management strategies in Corporate Risk Management (CRM) function. Audit liaison for Model Risk Management Group and OREO/SAD functions within CRM.

    • United States
    • Business Consulting and Services
    • 100 - 200 Employee
    • Project Consultant
      • Aug 2009 - Dec 2009

      Compliance services encompassed all aspects of the Sarbanes Oxley Act of 2002, including risk assessment, risk and control identification, documentation and testing for Energy and Financial Service Industries. Compliance services encompassed all aspects of the Sarbanes Oxley Act of 2002, including risk assessment, risk and control identification, documentation and testing for Energy and Financial Service Industries.

    • Chief Accounting Officer/ Division CFO
      • May 2006 - Jan 2009

      Oversaw and managed all aspects of accounting function for multiple companies for Land Development Company responsible for creation of 5,500 acre master-planned community expected to house 7,500 residences and almost 200 acres of commercial property by 2020. Oversaw and managed all aspects of accounting function for multiple companies for Land Development Company responsible for creation of 5,500 acre master-planned community expected to house 7,500 residences and almost 200 acres of commercial property by 2020.

    • Project Manager
      • Apr 2005 - May 2006

      Managed project teams and directly provided special project and compliance services for Professional Services Firm providing financial, accounting and internal audit services for Fortune 1000 Companies. Compliance services encompassed all aspects of the Sarbanes Oxley Act of 2002, including risk assessment, risk and control identification, documentation and testing Managed project teams and directly provided special project and compliance services for Professional Services Firm providing financial, accounting and internal audit services for Fortune 1000 Companies. Compliance services encompassed all aspects of the Sarbanes Oxley Act of 2002, including risk assessment, risk and control identification, documentation and testing

    • Project Manager
      • Mar 2004 - Mar 2005

      Directed and supervised the documentation of key processes and controls; Designed testing methodology; Coordinated with External Audit, Actuarial and IT project teams; Facilitated remediation of key control gaps identified during the process. Directed and supervised the documentation of key processes and controls; Designed testing methodology; Coordinated with External Audit, Actuarial and IT project teams; Facilitated remediation of key control gaps identified during the process.

    • Canada
    • Insurance
    • 1 - 100 Employee
    • Senior Audit Manager
      • Jan 2001 - Feb 2004

      Partnered with new Assistant Vice President of Internal Audit in reviving dormant Internal Audit department to provide special project and risk based performance and financial audit services of operational processes for International Life Insurance Company with annual revenue in excess of $1.5 billion. Partnered with new Assistant Vice President of Internal Audit in reviving dormant Internal Audit department to provide special project and risk based performance and financial audit services of operational processes for International Life Insurance Company with annual revenue in excess of $1.5 billion.

    • Norway
    • Business Consulting and Services
    • 100 - 200 Employee
    • Director of Accounting Services
      • Oct 1997 - Jan 2001

      Directed multiple engagements employing in excess of 20 professionals at for Start-up office of an International Professional Services firm providing financial, accounting and internal audit services for Fortune 1000 Companies. Client businesses serviced included international life and health insurance, chemical manufacturing and distribution companies, as well as office equipment manufacturer. Directed multiple engagements employing in excess of 20 professionals at for Start-up office of an International Professional Services firm providing financial, accounting and internal audit services for Fortune 1000 Companies. Client businesses serviced included international life and health insurance, chemical manufacturing and distribution companies, as well as office equipment manufacturer.

    • Founding Partner
      • Feb 1989 - Oct 1997

      Managed audit engagements for Local CPA Firm created for the purpose of providing financial, performance and compliance audit services under contracts with Federal Government Agencies such as U.S. Department of Labor, Pension Benefit Guaranty Corporation, Federal Deposit Insurance Corporation and the Resolution Trust Corporation. Managed audit engagements for Local CPA Firm created for the purpose of providing financial, performance and compliance audit services under contracts with Federal Government Agencies such as U.S. Department of Labor, Pension Benefit Guaranty Corporation, Federal Deposit Insurance Corporation and the Resolution Trust Corporation.

    • Supervisory Accountant
      • May 1985 - Feb 1989

Education

  • University of Georgia - Terry College of Business
    Master's degree, Accounting
    1980 - 1981
  • Georgia State University
    BBA, Accounting
    1978 - 1980
  • Oxford College of Emory University
    Associate of Arts - AA, General Studies
    1976 - 1978

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