At Healthpeak Properties, I manage property accounting for 19 real estate assets, supporting accurate financial reporting through general ledger reviews, journal entries, monthly accruals, and close procedures.
I complete balance sheet reconciliations and variance analysis, and I manage CAM reconciliations to support accurate tenant billings and lease compliance. I use Yardi and Foundry for tenant accounts, invoice workflows, financial reporting, and property accounting functions.
Previously at MOTIS Brands, I used NetSuite to compile data for daily sales reports, completed bank reconciliations, and supported internal and external audit preparation.
My banking background includes building business client relationships, analyzing credit packages, evaluating collateral, and presenting credit findings for lending decisions.

