I'm a senior property accountant with 20+ years of experience, including current remote work managing full-cycle accounting across a multi-property U.S. multifamily portfolio — GL coding, bank reconciliations, and month-end close done accurately and on schedule across multiple entities at once. Before specializing in property accounting, I built a background in FP&A, budgeting and forecasting, so I read a portfolio's numbers the way an owner or controller does, not just as a bookkeeper closing entries.
Where I add the most value is catching problems before they become owner-facing issues: I've built tools to flag control gaps and reconciliation anomalies at the portfolio level, track vendor cost variances, and monitor utilities spend against expected ranges — the kind of proactive oversight that saves a client from surprises at reporting time rather than explaining them after the fact.
I'm comfortable across a range of systems — Nexus, ResMan, QuickBooks Online, Xero, Oracle Hyperion, and AS400 — and I'm set up to work reliably across U.S. and Australian business hours. If you need someone who can own the books on a property portfolio with minimal oversight and tell you what the numbers actually mean, that's the role I fit.