Hybrid Accounting Analyst: GAAP & Reconciliation

Brown‑Forman Corporation

Región Centro

Presencial

MXN 480.000 - 600.000

Jornada completa

14 días+
Generador de candidaturas

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Descripción de la vacante

Brown-Forman Corporation in the Jalisco region seeks an Accounting Analyst to support corporate accounting functions. The role oversees online bank statements, cash reconciliations, inter-company balancing, and related party documentation, and prepares monthly journal entries under the Manager Consolidation Accounting and Analytics.

Requirements include strong GAAP knowledge, Excel proficiency, and clear English communication.

Formación

  • Associates Degree in Accounting, Finance or related field with 4+ years in Finance/Accounting, or BS/BA with 2+ years in Finance/Accounting.
  • Knowledge of US GAAP and financial reporting/analysis.
  • Proficiency with Excel, PowerPoint, Word, SharePoint, Teams.
  • Ability to work with minimal supervision and heavy workloads.
  • Strong analytical skills to validate and transform data into clear communications.
  • Ability to interact with upper management and advance within the company.
  • Excellent oral and written English communication.

Responsabilidades

  • Supervise online bank statements and cash reconciliation.
  • Balance inter-company transactions and document related party relationships.
  • Prepare monthly journal entries as designated by the Manager Consolidation Accounting and Analytics.
  • Ensure GAAP compliance and accurate financial records.
  • Support consolidation accounting and analytics.

Conocimientos

US GAAP knowledge
Excel proficiency
Strong analytical skills
English communication
Independence / self-motivation
Management interaction

Educación

Associate degree in Accounting/Finance
BS/BA in Accounting or Finance

Herramientas

Microsoft Office Suite
SAP (preferred)

Descripción del empleo

Brown-Forman Corporation in the Jalisco region seeks an Accounting Analyst to support corporate accounting functions. The role oversees online bank statements, cash reconciliations, inter-company balancing, and related party documentation, and prepares monthly journal entries under the Manager Consolidation Accounting and Analytics.

Requirements include strong GAAP knowledge, Excel proficiency, and clear English communication.

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