Responsible for balance sheet reconciliation, cash forecasting and analysis, and investments monthly analysis.
Additional responsibilities include collections, generating general ledger and forecasting reports
AR/AP, bank reconciliations
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
Big Four or public accounting experience preferred
Federal tax and complex tax experience
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
Spartan Capital Group is an equal opportunity employer. All applicants will be considered for employment without attention to race, color, religion, sex, sexual orientation, gender identity, national origin, veteran or disability status.