Stephanie Young
Accountant at Levy Casey Carter MacLean Chartered Professional Accountants- Claim this Profile
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Bio
Experience
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Levy Casey Carter MacLean Chartered Professional Accountants
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Canada
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Accounting
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1 - 100 Employee
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Accountant
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Sep 2022 - Present
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Real Estate 360 Property Advisory
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Dartmouth, Nova Scotia, Canada
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Accounting Controller
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Oct 2017 - Feb 2022
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CitiGroup Properties
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Dartmouth, Nova Scotia, Canada
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Senior Property Accountant
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Oct 2006 - Oct 2017
With a portfolio of condominium and commercial buildings - accounting to include but not limited to: day to day accounts payable processing, accounts receivable deposits, monthly bank & HST reconciliations, monthly financial statements prepared for clients and board members. Move in/out condo owners and commercial tenants. Processing of monthly pre authorized debits of fees. Year-end file preparation and documents for auditors. Prepare draft budgets for property managers upon request. With a portfolio of condominium and commercial buildings - accounting to include but not limited to: day to day accounts payable processing, accounts receivable deposits, monthly bank & HST reconciliations, monthly financial statements prepared for clients and board members. Move in/out condo owners and commercial tenants. Processing of monthly pre authorized debits of fees. Year-end file preparation and documents for auditors. Prepare draft budgets for property managers upon request.
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Cresco
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Canada
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Construction
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1 - 100 Employee
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Accountant
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Jun 2001 - Sep 2006
Day to day data entry of various construction companies. Communicate with owners on the purchase of their house or condo, prepare closing documents and communicate with lawyers for the sales of houses and condos. Maintain supplier invoicing and payments. Maintain accounts receivable, deposits and monthly bank reconciliation. Reconciliation of HST, workers compensation reports. Prepare year end files for auditor reviews. Day to day data entry of various construction companies. Communicate with owners on the purchase of their house or condo, prepare closing documents and communicate with lawyers for the sales of houses and condos. Maintain supplier invoicing and payments. Maintain accounts receivable, deposits and monthly bank reconciliation. Reconciliation of HST, workers compensation reports. Prepare year end files for auditor reviews.
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Education
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Nova Scotia Community College
Bachelor's degree, Accounting -
Charles P. Allen High Scool
High School Diploma