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• Staff Accountant / Senior Staff Accountant / Senior Accounta

Babich & Associates

Dallas (TX)

On-site

USD 70,000 - 90,000

Full time

Yesterday
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Job summary

A growing North American organization seeks a financial professional to support the Controller in financial strategy, planning, and reporting. This onsite role involves collaboration with leadership teams and participation in audits and compliance activities.

Qualifications

  • Strong background in finance/accounting required.
  • Manufacturing experience is a plus.

Responsibilities

  • Prepare monthly, quarterly, and annual financial statements.
  • Support financial planning and analysis efforts.
  • Assist with annual budget and FP&A processes.

Skills

Finance
Accounting
General Ledger
Accounts Payable
Accounts Receivable

Job description

Selected candidate will be responsible for supporting the Controller and team in financial strategy, financial planning and analysis, financial reports, company audits, compliance, and bank relationships, along with various AP / AR liaison duties. They will collaborate with operational and leadership teams to provide information regarding the company's financial strategy and operations. This is an onsite opportunity to become part of a large, growing North American organization.

Qualifications

The ideal candidate should possess a strong background in finance / accounting, with an emphasis on general ledger, accounts payable / receivable. Manufacturing experience is a plus.

Responsibilities
  1. Participate and partner in the preparation of monthly, quarterly, and annual financial statements, along with external audit information and compliance.
  2. Support financial planning and analysis efforts, including corporate-level Q&A and variance analysis.
  3. Work with the team to develop and improve accounting and business processes and procedures.
  4. Support business in business license and tax filings with various city, state, local, and federal jurisdictions.
  5. Prepare and/or correct various balance sheet account reconciliations.
  6. Assist and support the annual budget and FP&A processes.
  7. Support treasury functions, including cash forecasting, cash management, reconciliation, working capital management, and bank audits.
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