Kevin Mcclure

Controller

Kevin Mcclure is a skilled expert, who works in Cascade Energy main office of which is in 101. as a Accounting Manager since 2014. This expert has earned professional experience in more than seven positions at different companies. Kevin Mcclure went to the University of Louisville and got education there from 2007 to 2009. Seattle, Washington is the city, where this expert was lastly known to be settled. Their phone and email are easily accessed through this website by request.
Name variants:
Kev Mcclure
Last updated May 31, 2024

Contact Information

Last Update
Jul 2, 2022
Email
ke**@cascadeenergy.com
Location
Seattle, WA

Workplace

Cascade Energy, Inc
Accounting Manager

Portland, OR

Industry

Mechanical or Industrial Engineering, Engineering Services

Work History

Accounting Manager

123 northeast 3Rd Ave SUITE 400, Portland, OR 97204
Cascade Energy provides corporations and utilities with the industrial strength expertise needed to realize their energy efficiency potential. With a full complement of services and engineer...
Mar 1, 2014 — Oct 2017

Accounting Manager

5202 3Rd Ave, Brooklyn, NY 11220
Day-to-day management of Accounts Payable and Purchasing departments Developed corporate budget with assistance of CFO Prepare weekly reports for the Board Oversee month-end close which incl...
Jul 2013 — Mar 2014

Accounting Manager

310 Evergreen Rd SUITE 102, Louisville, KY 40243
Day-to-day management of A/R, A/P, and Purchasing departments. Developed company-wide budget and decreased spending. Prepare weekly reports for the CEO and Director of Finance. Developed for...
Oct 2012 — Jul 2013

Accountant

310 Evergreen Rd SUITE 100, Louisville, KY 40243
Jan 2012 — Oct 2012

Finance Officer

Kept and maintained accurate and well-organized records of all financial transactions including, but not limited to, receipts and payments of cash, checks, credit cards, and bank transfers. ...
Sep 2010 — Aug 2011

Senior Accoutant

300 east Market St SUITE 100, Louisville, KY 40202
Maintained corporate overhead ledgers which included bank account reconciliations, balance sheet reconciliations, and the preparation of journal entries to adjust balances. Completed monthly...
May 2007 — Aug 2010

Controller

Oregon

Occupations

Accountant
Controller
Executive
Manager
Accounts Payable
Accounts Payable Specialist
Financial Director
Operations Manager
Financial Officer
Financial Manager

Skills

Microsoft Excel
Quickbooks
Microsoft Word
Problem Solving
Account Reconciliation
Accounts Payable
Accounts Receivable
Purchasing
Bookkeeping
Peoplesoft
Powerpoint
Green Living
Financial Analysis
Financial Statements
Budgeting
Payroll
Accounting
Auditing
Management
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