Facilitate completion of budgets, cost report workpapers, and ad hoc reports under the direction of the CFO.
Work directly with CFO on planning and strategy.
Oversee cashflow and internal controls.
Establish, monitor, and enforce internal controls.
Monitor financial performance of the company including budget management.
Prepare and coordinate internal and external audits.
Accurately reconcile/review general ledger accounts on a timely basis and follow up on reconciling items.
Maintain accuracy of the balance sheet and ensure account reconciliations are completed timely and accurately, completion of monthly Balance Sheet Review Guide and Financial Attestation.
Direct and review monthly, quarterly, and year-end close acting as point of contact for external auditors.
Requirements
Bachelor’s degree in accounting, Finance, or related field
MBA, master’s in accounting or finance and CPA preferred
Three years previous accounting experience required
Knowledge of generally accepted accounting principles (GAAP)
Strong analytical and problem-solving skills.
Benefits
Excellent medical, dental, & vision coverage
Health savings account
Short-term/long-term disability and employee life insurance