Vacancy caducado!
Accountant/Controller
SUMMARY
Directs financial planning, financial record keeping, financial reporting and cash management for a small to mid-size company.
RESPONSIBILITIES
Responsible for the preparation of all monthly, quarterly, and annual financial statements.
Responsible for the direction and preparation of the annual financial planning project, which includes all departmental budgets and forecasting of future operating results.
Analyzes financial data to identify current and future operating trends and to locate problem areas. Recommendations for possible solutions to various business problems are also necessary on an ongoing basis.
Responsible for analyzing every line item on the P&L and determine ways to reduce operating cost.
Analyze and implement ways to reduce overall operating expenses of the company.
Direction and review of the preparation of all monthly, quarterly, and annual reports.
Plans the company's operating cash needs.
Directs the payment of all Company expenses, claim payments, and general obligations.
Reviews contingent commission calculations for all sales reps.
Responsible for the oversight of all payroll activities.
Ensure all financial records of the company are properly filed.
In charge of all Human Resources activities and other administration duties
Manage cash flow forecasting and maximize cash efficiency
Responsible for the annual organization budget process, and ongoing monitoring of progress and changes
Support Operational Integration within functional responsibilities, and across functions and companies.
Inventory Management experience
Ensures there is an efficient and effective system of internal controls in place to prevent and/or detect errors, omissions, and irregularities
Directs financial assessment and support negotiation of occasional business development transactions.
Vacancy caducado!