Maintain, reconcile, and analyze general ledger accounts for all corporate operating entities; reconcile bank accounts and code/report daily cash activities; administer and coordinate all property, real estate, sales/use, and other state or local taxes; close each month within a set cycle and prepare monthly financial statements; ensure accuracy, completeness, and integrity of all financial statements; assist in the coordination, planning, and timely execution of year-end financial audit, ABL audit, and any other audits/exams as required; assist with physical inventories; manage the fixed asset accounting for certain operating entities; prepare monthly bank reporting and borrowing base; compile ad hoc reports required by management; provide support for operations management to develop ongoing analytical tools; assist in the preparation of annual budget and periodic forecasts. Work from home benefit available.
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Job Type
Full-time
Career Level
Senior