Plan, review, monitor and supervise all financial and accounting activities of the company.
Analyze the company's financial information to identify budget deviations and manage reports on results and reports required by regulatory agencies on established dates.
Participate in the financial and strategic planning of the company, providing financial analysis and recommendations to improve operational efficiency and business profitability.
Coordinate the preparation and presentation of tax returns, as well as guaranteed compliance with the local and federal tax obligations, including review of sales and use tax returns.
Analyze the company's financial information to prepare consolidated financial statements and related notes, using generally accepted accounting principles (GAAP).
Monitor that ISO files and related reports are submitted on time and with appropriate information.
Requirements:
BBA with concentration in Accounting or Finance.
Valid CPA certification, preferred.
In-depth knowledge of GAAP, standards and regulations.
Minimum of 5 years of work experience in finance, accounting roles or a similar position.
Good attention to detail and analytical skills.
Good mathematical and accounting skills.
Mastery of Microsoft Office programs and Quickbooks or Sage accounting systems