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Job Description
Perform financial analysis and reporting to management as needed. Perform month-end accounting activities such as reconciliations and journal entries. Coordinate with finance team to complete assigned accounting tasks within deadlines.
- Monitor the day-to-day financial operations within the company, such as payroll, invoicing, and other transactions
- Monitoring and interpreting cash flows and predicting the future trend
- Contract outside services for tax preparation, auditing, banking, investments, and other financial needs as necessary
- Track the company's financial status and performance to identify areas for potential improvement
- Seek out methods for minimizing financial risk to the company
- Research and analyze financial reports
- Provide insightful information and expectations to senior executives to aid in long-term and short-term decision making
- Review financial data and prepare monthly and annual reports
- Present financial reports to executives and clients informal meetings
- Establish and maintain financial policies and procedures for the company
- Arranging new sources of finance for a company's debt facilities
Job Requirements
- 8+ years’ experience
- Proficient in Microsoft Excel and PowerPoint
- Demonstrated creative and critical thinking skills
- Able to work on multiple projects simultaneously
- Strong communication and presentation skills