Finance/ Tax Analyst
Job description
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Responsibilities:
- Manage general ledger, accounting closing cycle, and monthly closing entries.
- Complete intercompany confirmation and prepaid amortization schedules.
- Complete, record and balance intercompany cost transactions between entities.
- Complete monthly detailed analysis of account reconciliation.
- Research and analyze the effects of transactions on account relationships.
- Learn, develop, and recommend revisions to accounting systems and procedures in conformance with GAAP.
- Prepare monthly reporting schedules and accounts analysis.
- Assist and analyze monthly GAAP consolidated financial statements; generate and analyze nonstandard financial reports.
Skills:
- ACA, ACCA, or CPA equivalent required.
- Minimum 3 Years Of Related Work Experience (audit/tax Procedure).
- Strong understanding of accounting concepts and principles and knows the nature of assets and liabilities as well as the income statements accounts.
- Experience with Enterprise Resource Planning financial system is desired.
- Proficient with Microsoft Office, especially Excel.
- Strong attention to detail and highly analytical.
- Strong sense of ownership.