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Job Description
- Prepare accurate financial statements and month-end close reports
- Reconcile accounts, resolve discrepancies, and collaborate across various Finance and non-Finance functions optimally
- Analyze journals, produce data analysis and reports, and assist with variance analysis
- Assemble the annual audit information for external auditors
- Recommend, as a partner in the accounting process, ways to improve efficiency using automation
- Analyze the past performance of financial data, and prepare budgets and forecasts
- Perform variance analysis between actual monthly performance and budget, and use their business understanding to produce insights that the CEO can action to drive financial results
Job Requirements
- Excellent written and verbal English
- Excellent interpersonal skills.
- Ability to work with tight deadlines in a fast-paced and multi-cultural environment to achieve clear goals.
- 5+ years of experience within finance in a company, in one or more of the following financial areas: Accounts Payable (or PTP), Accounts Receivable (or OTC), Accounting (or RTR), Analyst, or FP&A, with a growing level of responsibility and complexity.
- US GAAP or IFRS knowledge.
- Strong analytical skills and an ability to understand underlying business drivers and provide actionable insights based on their analysis.
- Ability to analyze financial data and build a simplified explanation that demonstrates the financial impact of changes to budgets and plans.
- Strong organizational skills with the ability to multi-task in a fast-paced environment.
- Ability to learn quickly and research issues for which you may not have an immediate answer.
- Ability to learn ERP systems.
- Proven success in a team environment and collaborating across teams.
- Computer Skills (Windows, Office, Internet).