Resume Highlights

About Me

I am a Vancouver-based accounting professional and CPA Candidate who passed the September 2025 CFE. I have experience in property accounting, financial reporting, accounts payable, CAM reconciliations, tenant ledgers, budget support, and accounting process improvement. My work focuses on accuracy, practical reporting, stakeholder support, and using systems such as Yardi, Excel, Power Query, VBA, Oracle, and GEM to improve efficiency.

Professional Strengths

Property Accounting & Reporting

Experience preparing CAM reconciliations, tenant statements, recovery schedules, rent schedules, tenant ledger reconciliations, month-end entries, and financial reporting packages.

Accounts Payable & Controls

Strong background in full-cycle AP, invoice coding, approval workflows, vendor follow-up, corporate expense review, GST/ITC validation, audit support, and GL/TB review.

Systems & Process Improvement

Skilled in building Excel and Power Query tools, improving reporting templates, validating data, reducing manual entry, and supporting Yardi reporting and system testing.

Stakeholder Support

Experienced in working with real estate managers, asset managers, tenants, vendors, finance teams, business managers, and external reviewers.

Career Snapshot

Junior Property Accountant

Currently supporting property accounting functions, including CAM reconciliations, tenant billing, Yardi lease setup, rent schedules, tenant ledger review, month-end entries, and property tax adjustments.

AP Specialist, Corporate Accounting — Concert Properties Ltd.

Processed corporate AP invoices and expenses, reviewed coding and support, handled approval workflows, supported audit requests, and prepared transition documentation.

Accounting Assistant, Tapestry Finance — Concert Properties Ltd.

Managed AP, prepared management fee and lease fee calculations, supported financial report packages, reviewed budget-to-actual variances, completed compliance tasks, and created reporting tools using Yardi, Excel, Power Query, Oracle, and GEM.

Warehouse Administrator — Trading Manufacturing Royal Blue Ltd.

Maintained purchasing and inventory records, supported stock reconciliation, improved warehouse organization, and prepared documentation for management review.

Selected Achievements

  • Built a resident billing workbook using Power Query and advanced Excel to combine Yardi, Oracle, and GEM data for more efficient billing review.
  • Created Yardi AP, AR, tenant-recoverable, and marketing expense reports to improve reporting visibility and stakeholder review.
  • Improved CAM reconciliation accuracy by reviewing formulas, validating linked schedules, and reducing repeated manual inputs.
  • Supported Yardi Voyager 7S system testing by validating ledgers, charges, AP/AR entries, GL activity, and financial statement outputs before go-live.
  • Applied professional judgment to accounting treatment for prepaid expenses, shared strata costs, emergency repairs, capital items, insurance considerations, and tenant chargebacks.

Education & CPA Progress

CPA Western School of Business

CPA Candidate — Passed September 2025 Common Final Examination

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Camosun College

Post-Degree Diploma in Accounting

Ho Chi Minh City University of Foreign Languages – Information Technology

Bachelor’s Degree in Oriental Studies

Volunteer Experience

Samaritan’s Purse — Flood Relief Volunteer

Supported community relief efforts through hands-on assistance, teamwork, and service-focused volunteer work.

AIESEC Victoria — Corporate Relations Volunteer

Supported external relationship-building, communication, event coordination, and outreach activities.

Technical Skills

Yardi Voyager Advanced Excel Power Query VBA/Macros Microsoft 365 Oracle GEM Financial Reporting CAM Reconciliations AP GL/TB Review Data Validation Reporting Templates