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Christopher H. Turner
11391 King St, Overland Park, KS 66210
P: 913-515-9348, Email: ChrisHTurner@gmail.com
Education_____________________________________________________
University of Kansas
Bachelor of Arts in Economics December 2007
Professional Experience__________________________________________
Senior Accountant 5/2015 – 9/2016
VEREIT
 Oversaw two staff accountants and was responsible for reviewing journal entries, wires, balance sheet
reconciliations, income statement analysis, and various other standard accounting responsibilities.
 Responsible for processing payroll imports from ADP and the tracking and accruing of various types of
compensation.
 Assembled monthly financial reporting package for one of the company entities and ensured compliance
with FINRA regulations, as well as completing the quarterly FOCUS and SSOI report for the broker dealer.
 Reviewed and approved invoices for payment through AVID and ensured proper GL coding.
Senior Accountant 5/2012 – 4/2015
Shamrock Trading Corporation
 Experience in Corporate Accounting, as well as alternative lending processes related specifically to
Factoring and Purchase Order financing.
 Responsible for daily gross profit and volume tracking, the review of new client setups, as well as
determining the daily cash borrow through the bank Line of Credit.
 Experience with various accounting software to include Great Plains, FRx, FactorSoft, and McLeod.
 Responsible for completing the company borrowing base and financial debt covenants in accordance with
the company credit agreement.
 Responsible for numerous monthly journal entries and expense accruals, the preparation and analysis of the
company income statement and balance sheet, and calculating employee commissions for payroll.
 Accounts receivable and supporting functions such as processing checks and invoices, bank reconciliations,
and ensuring the accuracy of client reserves.
 Given numerous projects and tasks such as assisting with the yearly independent and bank audits, FBAR
and Census filing, researching billing discrepancies, and many various ad hoc projects.
 Experience with tenant management, recording of rental income and security deposits, lease contracts, and
CAM settlements.
 Provide guidance to subordinates and new hires, and review their work when applicable.
 Streamlined the company's UPS shipping process to limit cost and provide accurate and reliable data.
Fund Accountant 2/2008 – 5/2012
State Street Corporation
 Provided investment accounting for Microsoft as a client, and was responsible for maintaining their
portfolios and all of the various tasks associated with the day to day and month end reporting process.
Miscellaneous
 Proficient with computer systems and software including Microsoft word, PowerPoint, Outlook, and Excel.
 Excellent problem solving skills and attention to detail. Regularly research and resolve problems with cash
receipts/disbursements, income and expense accruals, GL accounts, technical, and other items related to
finance and accounting.
 Excellent oral and written communication skills.
 Experienced in communicating with management, customers, and other inter-business personnel, while
multitasking various projects and deadlines.
 Regularly communicate through E-mail and telephone with personnel in high profile companies such as
Microsoft, Northern Trust, Bank of America, and more.

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Chris Turner Resume - Most Recent

  • 1. Christopher H. Turner 11391 King St, Overland Park, KS 66210 P: 913-515-9348, Email: ChrisHTurner@gmail.com Education_____________________________________________________ University of Kansas Bachelor of Arts in Economics December 2007 Professional Experience__________________________________________ Senior Accountant 5/2015 – 9/2016 VEREIT  Oversaw two staff accountants and was responsible for reviewing journal entries, wires, balance sheet reconciliations, income statement analysis, and various other standard accounting responsibilities.  Responsible for processing payroll imports from ADP and the tracking and accruing of various types of compensation.  Assembled monthly financial reporting package for one of the company entities and ensured compliance with FINRA regulations, as well as completing the quarterly FOCUS and SSOI report for the broker dealer.  Reviewed and approved invoices for payment through AVID and ensured proper GL coding. Senior Accountant 5/2012 – 4/2015 Shamrock Trading Corporation  Experience in Corporate Accounting, as well as alternative lending processes related specifically to Factoring and Purchase Order financing.  Responsible for daily gross profit and volume tracking, the review of new client setups, as well as determining the daily cash borrow through the bank Line of Credit.  Experience with various accounting software to include Great Plains, FRx, FactorSoft, and McLeod.  Responsible for completing the company borrowing base and financial debt covenants in accordance with the company credit agreement.  Responsible for numerous monthly journal entries and expense accruals, the preparation and analysis of the company income statement and balance sheet, and calculating employee commissions for payroll.  Accounts receivable and supporting functions such as processing checks and invoices, bank reconciliations, and ensuring the accuracy of client reserves.  Given numerous projects and tasks such as assisting with the yearly independent and bank audits, FBAR and Census filing, researching billing discrepancies, and many various ad hoc projects.  Experience with tenant management, recording of rental income and security deposits, lease contracts, and CAM settlements.  Provide guidance to subordinates and new hires, and review their work when applicable.  Streamlined the company's UPS shipping process to limit cost and provide accurate and reliable data. Fund Accountant 2/2008 – 5/2012 State Street Corporation  Provided investment accounting for Microsoft as a client, and was responsible for maintaining their portfolios and all of the various tasks associated with the day to day and month end reporting process. Miscellaneous  Proficient with computer systems and software including Microsoft word, PowerPoint, Outlook, and Excel.  Excellent problem solving skills and attention to detail. Regularly research and resolve problems with cash receipts/disbursements, income and expense accruals, GL accounts, technical, and other items related to finance and accounting.  Excellent oral and written communication skills.  Experienced in communicating with management, customers, and other inter-business personnel, while multitasking various projects and deadlines.
  • 2.  Regularly communicate through E-mail and telephone with personnel in high profile companies such as Microsoft, Northern Trust, Bank of America, and more.