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  • Posted 20 days ago
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Job Description

  • Active role in the monthly analysis, book close and for supervising the accounting team.
  • Account reconciliation and analysis; prepaid expenses, deposits, accrued expenses,
  • Investments, capital leases, inter-company balances, etc.
  • Journal entries including maintenance of recurring journal entries and allocations
  • Organizing and updating accounting records as needed (digital and physical)
  • Coordinate the monthly book close
  • Plan, coordinate and execute annual financial audit
  • Assist in the compilation of information for the companys annual tax returns
  • Develop and implement policies and procedures with emphasis on internal controls, enforcing proper accounting methods
  • Special projects as required
  • Preparation and analyzing various financial reports on transactions
  • Performing regular, detailed audits to ensure accuracy in financial documents, expenditures and investments
  • Plays vital role in our companys financial operations, ensuring compliance with the law and accuracy in accounting
  • To support and carrying out the responsibilities of the Finance & Accounting department
  • Spends a greater portion of their time on Financial Statement preparation and analysis,
  • Budget and Variance issues, and Forecasting.
  • Provides financial information by maintaining and reconciling accounts; preparing reports.
  • Preferably with Insurance Experience.
  • Preferably Certified Public Accountant (CPA)
  • Preferably with Insurance Experience
  • Minimum of 3 years experience in Finance or Accounting Department Business in the banking industry or related field
  • Minimum of 3 years experience as a Finance Manager or relevant managerial role.
  • Strong written and verbal communication skills
  • Intermediate to Advanced Skills in Project Management Tools
  • Strong capabilities with database and information systems software
  • Intermediate to advanced skills in Microsoft Product Suite

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Job ID: 134873525

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