Accounts Payable Specialist at AlayaCare (2023-07 – Present)
Process more than 300 vendor invoices monthly and prepare payment proposals exceeding $3 million across Canadian, U.S., and Australian entities.
- Led the implementation of RAMP for invoice processing, employee reimbursements, and corporate-card administration; maintained reliable data flow between RAMP, NetSuite, and banking platforms.
- Transitioned most eligible vendors to corporate-card payment, generating 1.5% cash back on card-paid vendor spend while protecting due dates and service continuity.
- Review invoices, reimbursement claims, tax details, GL coding, business-unit allocations, duplicate receipts, supporting documentation, and approvals before final processing.
- Prepare and release approved EFT and wire payments; validate banking information, maintain wire templates, meet banking cut-off times, and resolve payment exceptions.
- Complete monthly bank reconciliations across CIBC Canada, CIBC U.S., and BMO accounts; investigate exceptions and post bank fees, interest, adjustments, and other journal entries.
- Prepare Canadian sales-tax filings and related journal entries and payments, including Avalara payment submissions; support annual 1099, T4A, audit, and year-end documentation requirements.
- Created a practical RAMP training manual for employee out-of-pocket expenses, bills, and corporate cards, improving policy adherence and reducing incomplete submissions.
- Use Glean and ChatGPT to support research, documentation, and efficient resolution of AP inquiries while maintaining accounting controls and confidentiality.
General Accountant / Accounts Payable Specialist at The National Ballet of Canada (2021-03 – 2023-06)
- Managed the full accounts payable cycle in Solomon, including invoice matching, coding, approvals, vendor-file maintenance, payment processing, and employee expense reports.
- Issued customer invoices, processed customer payments, and followed up by phone and email to support timely collections.
- Prepared HST reconciliations and returns; maintained prepaid schedules, completed monthly accruals and account reconciliations, and supported year-end audit activities.
- Partnered with department leaders on coding, operating results, budgets, forecasts, and monthly reporting packages.
- Administered corporate-card receipt collection, petty cash, and operational journal entries; supported a transition toward paperless financial reporting.
Accounts Payable Supervisor at ecobee (2019-06 – 2020-03)
- Led, coached, and prioritized the work of two Accounts Payable Analysts while owning the AP subledger and timely payment of financial obligations.
- Managed PO, invoice approval, reconciliation, dispute-resolution, vendor-communication, and disbursement processes in a growing organization.
- Forecasted cash outflows to support working-capital management and contributed to month-end variance analysis, accruals, and journal entries.
- Identified process gaps and helped evaluate best practices and software solutions to scale the accounts payable function.
Accounts Payable Manager / Accounts Specialist at Maru/Matchbox (2016-06 – 2019-05)
- Led end-to-end AP operations, supplier payments, expense monitoring, tax submissions, month-end reporting, and coaching of junior AP staff.
- Developed and implemented a monthly accrual process for expense reports, recurring accounts, and other spending to improve period-end accuracy.
- Reconciled vendor statements, monitored payment terms and discounts, and ensured compliance with vendor onboarding and expense-approval policies.
- Completed bank reconciliations for six CAD and USD accounts and prepared standard and intercompany journal entries.
Accounting Specialist at S8 Companies Group (2015-09 – 2016-05)
- Processed high-volume accounts payable and receivable activity for eight affiliate companies, including general ledger work, reconciliations, journals, HST filings, and month-end reporting.
- Created a consolidated corporate-card expense tracker covering 25 cards to improve visibility of spending by affiliate company.
- Maintained AP vendor records, payment terms, credit limits, petty cash, production advances, and project wrap documentation.