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Senior Financial Analyst

Irvine, CA

SONY MUSIC ENTERTAINMENT
SENIOR FINANCIAL ANALYST, APRIL 2023 – To PRESENT
FINANCIAL ANALYST, AUGUST 2021 – APRIL 2023
Present and communicate meaningful analyses to departmental leads to improve costs and margins and ensures written reports are properly prepared and formatted for distribution to executive team
Understanding of the technical aspects of accounting and financial reporting
Prepare month-end and year-end close activities including but not limited to journal entries, partner share calculations, review of variable cost calculations, etc.
Balance managing multiple projects while working with varying teams and stakeholders
Assist with Marketing Controls:
Budget input
PO Review and Approvals
Processing of invoices
Develop a general knowledge of the business, regulatory and accounting and control environment surrounding the industry
Participate in the preparation of the annual budget and monthly P&L forecasts
Evolve departmental processes through the creation of better FP&A and financial modeling tools and procedures used company-wide
Collaborated with senior management teams throughout consolidation processes and assisted in modelling proposals for potential acquisitions and mergers
Monitored industry trends and markets to stay current on potential business impact
Execute ad-hoc analysis depending on the needs of executive management
Conducted thorough risk analysis of potential deals and acquisitions ensuring approval from corporate

CAREACCESS MSO
FINANCIAL ANALYST, MARCH 2020 – JULY 2021
·       Maintained general ledger and all related accounts of IPA; reviewed entries to general ledger and subsidiary ledgers to ensure accuracy in addition to explaining and resolving any variations; responsible for monthly and year-end closing of the general ledger including preparation of journal entries of IPAs

·       Assisted Sr. Accounting Manager and CEO in forecasting and modeling the financial operation strategy of IPAs while conducting comprehensive risk assessments across various departments within the organization

·       Ensured the organization’s compliance with relevant laws and regulations by implementing necessary risk management measures and staying current with changes in healthcare regulations and accreditation standards

·       Oversaw and manage Accounts Payable, claims payment processing, and PCP Capitation payments for all IPAs

·       Assisted Sr. Accounting Manager with a year-end audit; scheduled and prepared documents for third-party auditors

·       Collaborated with healthcare professionals to proactively identify and address emerging risks within their respective offices

·       Prepared monthly bank reconciliation for IPAs for all accounts; verified the accuracy of bank statements and resolved any issues; maintained the integrity of cash balances and cash flow systems

 

FIRST AMERICAN TITLE INSURANCE COMPANY
TREASURY ANALYST, sEPTEMBER 2019 – FEBRUARY 2020
·       Supported Treasurer in financial forecasting by analyzing historical financial results to assist in decision making

·       Managed cash flow, income, liability obligations, and assets to ensure all branches run smoothly

·       Reviewed daily bank reports to supply wire transfers, process taxes, and assess potential liabilities

·       Corresponded with independent banks and department heads to secure timely and accurate transactions

·       Collaborated with treasury and finance teams to evaluate the impact of identified risks on the organization’s financial health

·       Developed and updated treasury risk management policies and procedures in accordance with industry best practices.

  • Updated 1 year ago

To contact this candidate email laurenbyi8696@gmail.com

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