Job Type : Fulltime/Salary
Our client is now hiring a Financial Analyst for their multi-division, multi-state organization. This accounting professional will be responsible for maintaining the general ledger by reconciling accounts, preparing tax reports and assisting with the completion of month-end performance.
Responsibilities and Duties:
Gather data for annual reports, budgets and cash flow reports.
Compile detailed analyses to support investment decisions.
Reconciles balance sheet accounts monthly to maintain the general ledger.
Prepares and files monthly state sales tax report.
Maintains fixed asset records and payments on a timely basis of all notes and loans.
Completes and files tax exempt certificates and resale certificates.
Prepares property taxes.
Processes inter-company invoices.
Researches monthly budget variances.
Reviews AP and POs for accuracy and makes corrections as needed.
Assists the CPA with annual audit and income tax preparation.
Work closely with management and external partners such as CPA, IRS, Banking and Legal.
Maintains appropriate records as required by the IRS and all other government entities.
3 – 5 Years Experience in accounting.
Bachelor’s Degree in Business Administration with Accounting Emphasis or related degree.
Proficient computer skills including Microsoft Office (Excel, Word and Outlook).
Ability to effectively present information one on one and small group situations.
Ability to carry out written and oral instructions.
Good interpersonal, communication and customer service skills.