I support general ledger accounting at Associa Corporate, reviewing monthly financial statements for 50+ real estate clients and posting journal entries to keep accounts current.
I manage month-end and year-end close activities, including accruals, amortizations, account reconciliations, budget analysis, and coordination with external auditors. I also use BlackLine for monthly bank reconciliations and investigate AR payment discrepancies.
I help integrate acquired properties into the C3 system, support client accounting teams and boards, and train new hires on department processes and BlackLine usage. My background includes accounting degrees, a finance MBA, and hands-on treasurer experience managing donations, vendor payments, reconciliations, and reporting.

