• Type: Direct Hire
  • Job #305

Full Job Description

  • Responsible for balance sheet reconciliation, cash forecasting and analysis, and investments monthly analysis.
  • Additional responsibilities include collections, generating general ledger and forecasting reports
  • Prepares financial reports and analyses related to budget, forecast, and treasury functions.
  • Assists in month-end close processes and prepares month-end financial reports
  • Assists the CFO/Controller/Accounting Manager in the development of budgets and financial reporting.
  • Works with external auditors 
  • Performs other ad hoc reporting or special projects as needed

Requirements:

  • Bachelors’ Degree in Accounting
  • 3-5 years of experience in general accounting
  • Ability to effectively work with all levels in the organization as well as working with a diverse group of people
  • Self-starter
  • Takes initiative
  • Can-do attitude
  • Strong problem solver

 

 

 

 

 

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