Responsibilities
- Oversee the preparation of comprehensive financial statements in accordance with GAAP (Generally Accepted Accounting Principles).
- Manage general ledger accounting, month end close, balance sheet reconciliation to ensure accuracy and completeness
- Supervise the accounting team
- Oversee cash management activities, including cash flow forecasting, and monitoring using various financial software platforms
- Prepare detailed financial reports for internal stakeholders and external auditors to facilitate transparency and accountability
- Prepare and analyze budgeting and forecasting
- Lead the month-end closing process, ensuring all transactions are accurately recorded using double-entry bookkeeping principles
Skills
- Strong knowledge of GAAP compliance
- BS in Accounting, MBA, and CPA a plus
- Proficiency in financial software and advanced Excel
- Expertise in general ledger management and month end close
- Excellent financial analysis skills with the ability to interpret complex data sets for strategic decision-making.
- Demonstrated experience in budgeting, forecasting, cash flow management, and financial reporting
- Professional services industry a plus
- Strong organizational skills with attention to detail; ability to manage multiple priorities effectively
- Effective communication skills for collaborating across departments and presenting financial information clearly
How to apply.
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