Seeking a Financial Accountant with 5 years of experience in corporate environments. Must be skilled in financial statement preparation, accounts management, process and risk management, budgeting, tax computations, and banking transactions.
Key Responsibilities:
o Prepare and analyze financial statements (balance sheet, income statement, cash flow).
o Ensure compliance with GAAP/IFRS and internal financial policies.
o Oversee general ledger reconciliations and month-end/year-end close processes.
o Manage accounts payable (AP) and accounts receivable (AR) functions.
o Ensure accurate recording of journal entries, accruals, and adjustments.
o Maintain internal controls to minimize financial risks and fraud.
o Develop annual budgets, financial forecasts, and variance analysis.
o Assist in cost control, financial planning, and decision-making processes.
o Compute and file corporate taxes, sales taxes, and other regulatory filings.
o Stay updated on tax laws and ensure compliance with financial regulations.
o Optimize financial workflows, improve automation, and mitigate risks.
o Implement best practices for financial governance and reporting accuracy.
o Manage ACH payments, wire uploads, credit card payments, and cash flows.
o Liaise with banks and financial institutions for account management and transactions.
Qualifications & Experience:
o 5 years of experience in accounting & finance (corporate enterprise preferred).
o Strong expertise in financial statement preparation, budgeting, and risk management.
o Experience in tax computation, compliance, and reporting.
o Hands-on experience with ACH, wire transfers, and credit card payments.
o Proficiency in accounting software (e.g., QuickBooks, SAP, NetSuite) and Excel.
o Strong analytical, problem-solving, and communication skills.
o CPA, CMA, or equivalent certification preferred