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Nancy A. Stryker, CFE
PROFESSIONAL EXPERIENCE
James C. Sell, C.P.A. & James C. Sell, P.C.
April 2005 to Present Forensic Accountant
The company's' core competencies lie in providing forensic accounting and expert witness services for various state, federal and private matters. The company
has extensive experience in Securities Laws, Regulations and Statutes, Receivership/Conservatorship Actions and Proceedings, Bankruptcy Matters and Proceedings,
Complex Real Estate Transaction Investigations and Resolution, and Insurance and General Business Practice Evaluations and Services. In addition, the company provides
a broad range of Litigation Support Services, including but not limited to, performing account analysis, providing detailed fraud investigations, providing
expert witness testimony, determining investor damages, preparing specialized reports as required or requested, perform asset disposition and distributions,
preparing income tax returns, and determining the amount of restitution to be paid to claimants on a case-by-case basis. The company has developed proprietary
document management systems in previous cases and now typically utilized best-in-breed software strategy. We pride ourselves on our ability to provide quality
work product at an affordable price done with the utmost integrity while equalizing the playing field regardless of the size of the case. Our IT strategy is one
of the main reasons we can achieve these goals.
Mathon Management Company January 2003 to April 2005 Accountant
Provide management with various reconciliations and analysis including graphs depicting activity per month. Maintain interest and fixed asset schedules and post
monthly journal entries. Reconcile inter-company accounts as well as other general ledger accounts on a monthly basis. Assist in month-end close. Reconcile to
online banking and process payroll when assistance was needed.
Created new reconciliation format for requested analyses on the loan portfolios.
Instrumental in streamlining the month-end closing process.
Fitness Gallery September 2001 to October 2002 Accounting
Manage Accounts Payable including reconciliation of accounts and weekly check disbursements. Record daily cash and sales audits for twelve markets. Prepare bank
deposits locally in addition to recording bank deposits for all twelve markets. Reported monthly sales numbers to staff.
Complete audit on warranty reimbursement from suppliers.
Prepare monthly report for management indicating number of each product sold per market.
S & M Moving Systems April to August 2001 Accounting Supervisor
Supervised a team of four. Managed Accounts Payable including reconciliation of accounts and weekly check disbursements. Prepared bank deposits and reported
Accounts Receivable to Corporate. Complete all General Ledger entries. Maintained revenue accrual log. Selected to attend new accounting system implementation
training. Coordinated Monthly team meetings.
Prepared step by step instructions for specific data entry functions.
Completed Leadership Skills Certification.
MicroAge January 2000 to February 2001 Account Analyst
Managed manufacturer warranty processes by researching and analyzing data from branches and reporting monthly warranty revenue and expenses. Organize conference
calls to work out difficult issues using communication and organizational skills.
Reduced monthly warranty expenses 85% from averaging $15,000/month to $1,000/month.
Maintained manufacturer warranty compliance in 36 branches.

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