Overview
To join our Finance team, this position is responsible for developing financial statements and reports enabling successful month-end closure and reporting.
The ability to make an impact and shape your career with a company that is passionate about growth
The support of an organization that believes it is vital to include and engage diverse people perspectives and ideas to achieve your best
What You Will Do
- Manage day to day and month-end accounting activities including but not limited to journal entries, accruals, reconciliations, tax reports, cost reporting and analysis, accounts payable review, fixed asset maintenance
- Book & record the general accounting documents and safekeeping
- Manage the weekly payment process, summarize the monthly payment report, monitor daily financial position and review daily cash report(s)
- Manage daily & monthly sales posting, reconciling AP balance with intercompany and managing daily and monthly intercompany reconciliation (IR) process, manage year-end external audits
- Assist in development and implementation of new procedures and features to enhance the workflow & ERP
- Participate in the preparation of the annual budget and work on periodic updates to business financial forecasts
- Work with Business/Marketing & Finance teams to quantify and analyze financial performance
Position Details
Candidate must reside in: CITIES/AREA
Qualifications
- Bachelor's Degree in Accounting or Finance
- 10 years of professional experience in accounting or finance
- No Immigration Sponsorship available for this opportunity (Preferred)
- Strong analytical skills
- High level of accuracy and detail oriented
- Ability to manage ad hoc projects in addition to routine duties
- Demonstrate ability to prioritize and deliver results within time constraints
- Experience or knowledge in ERP systems
- An accounting or finance certification such as Certified Public Accountant (CPA) or Certified Management Accountant (CMA)
Required Experience
Manager