Shaunte Cooper

Vice President, Accounting at Croatan Investments
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Contact Information
Location
Virginia Beach, Virginia, United States, US

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Experience

    • United States
    • Real Estate
    • 1 - 100 Employee
    • Vice President, Accounting
      • Mar 2021 - Present

    • United States
    • Higher Education
    • 700 & Above Employee
    • Accounting Faculty
      • Nov 2019 - Present

      Responsible for delivering quality, student-centered, hands-on, active instruction in order to prepare students for success. Responsible for delivering quality, student-centered, hands-on, active instruction in order to prepare students for success.

    • United States
    • Real Estate
    • 1 - 100 Employee
    • Property Accountant
      • Feb 2018 - Mar 2021

      Manage multiple commercial property accounts which include but not limited to reconciling all bank statements. Approving all accounts payable in Yardi. Amortizing all insurance and real estate taxes. Reclasses and posting and necessary journal entries. Recording all CAM Reconciliation entries. Preparing and reviewing all month end financials for Property Managers. Preparing necessary reports for all outside reporters. Assist in budget preparation Manage multiple commercial property accounts which include but not limited to reconciling all bank statements. Approving all accounts payable in Yardi. Amortizing all insurance and real estate taxes. Reclasses and posting and necessary journal entries. Recording all CAM Reconciliation entries. Preparing and reviewing all month end financials for Property Managers. Preparing necessary reports for all outside reporters. Assist in budget preparation

    • Accountant
      • May 2017 - Feb 2018

      Manages a portfolio of twelve multi-family properties accounts which include but not limited to reconciling bank statements for both operating and escrow accounts. Approved all residents’ security deposits and reconciled those transactions. Ensuring all subsidy funds are received and recorded. Recording all non-tenant cash receipts into Timberline. Recording necessary journal entries including year-end journal entries. Month-end closing process. Preparing and reviewing all financial statements to be sent to owners. Reviewing accounts payable for accuracy. Maintain working relationships with outside contacts such as vendors and banks. Assisting property managers with maintaining resident’s ledgers. Maintaining fix assets. Prepare necessary reports for outside reporters such as Auditors and Housing Associates. Prepare cash projections for Regional Managers. Outside audits of properties cash and leases as needed. Other duties as assigned.

    • United States
    • Real Estate
    • 200 - 300 Employee
    • Residential Accountant
      • Dec 2014 - May 2017

      Manages a portfolio of twenty-eight multi-family properties accounts which include but not limited to reconciling bank statements for both operating and escrow accounts. Approved all residents’ security deposits and reconciled those transactions. Ensuring all subsidy funds are received and recorded. Recording all non-tenant cash receipts into MRI. Recording necessary journal entries including year-end journal entries. Month-end closing process. Preparing and reviewing all financial statements to be sent to owners. Recording closing documents during sales and refinances of properties. Accounts payable. Maintain working relationships with outside contacts such as vendors and banks. Assisting property managers with maintaining resident’s ledgers. Prepare necessary reports for outside reporters such as Auditors and Housing Associates. Prepare cash projections for Regional Managers. Outside audits of properties cash and leases as needed. Other duties as assigned.

    • Construction
    • 1 - 100 Employee
    • Accounting Administrator
      • May 2014 - Dec 2014

    • Accounting Assistant
      • Apr 2013 - Feb 2014

      Assist Accounting Manager including AP, AR, cash management, bank transfers, reconcilations, and payroll using Timberline accounting software. Assist Accounting Manager including AP, AR, cash management, bank transfers, reconcilations, and payroll using Timberline accounting software.

    • Accounting Technician
      • Nov 2009 - Aug 2012

      Performed general accounting functions at a technical level for this NC Department; duties included maintaining approximately $11 million is fixed assets, maintaining debt setoff accounts, certify monthly bank reconciliation via Agency’s State Treasurer’s Core Banking. Accurately posting and correcting general ledger entries, requisitioning funds, billing divisions, accounts payable Receiving and transferring electronic funds to and from other agencies and posting to accounts. Assisted Accountant in month-end closing and year end closing.

    • Accounting Clerk
      • Sep 2005 - Nov 2009

      Performed general accounting functions for this NC department, including general ledger entries, and cash requisitioning. Assisted Accountant in month end closing; receiving and depositing wire transfers, and handled cash bank deposits. Performed A/P functions for capital improvement vendors. Prepared checks and reconciled bank statements. Performed general accounting functions for this NC department, including general ledger entries, and cash requisitioning. Assisted Accountant in month end closing; receiving and depositing wire transfers, and handled cash bank deposits. Performed A/P functions for capital improvement vendors. Prepared checks and reconciled bank statements.

Education

  • Strayer University (VA)
    Masters of Science, Accounting
    2006 - 2009
  • Elizabeth City State University
    Bachelors of Science, Accounting
    1999 - 2003

Community

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