JOB DETAILS: The ideal candidate will have substantial exposure to monthly closing processes, forecasting and budgeting, and customer billing.
They will be organized and approach each issue with an analytical mindset.
Responsibilities • Examine bank statements and reconcile them with general ledger entries • Create and supervise implementation of budgets • Compile all financial data comprehensively including creating company management and financial reports with the above information included • Analyze data to understand where the company is generating and losing revenue • Examine the proficiency of the software programs used to organize data • Compliance with all company, local, national and regional accounting and financial regulations.
• Present data to managers, investors, and other entities.
• Maintain accurate financial records.
• Keep informed about current legislation relating to company finance and accounting.
• Assist management in the decision-making process through budgets and financial forecasts.
• Track key performance indicators and partner with different managers to reach departmental and overall company goals.
• Identify opportunities for process improvement, develop and implement solutions.
Qualifications • 4+ years of professional accounting experience • Bachelor’s degree in Accounting, Finance, or Economics or equivalent experience • CPA Level 3 preferred