Create and analyze internal and external monthly financial statements and annual audits and annual budgets.
Assure corporate income tax compliance to assure the accurate and timely completion of all corporate income tax returns taking full advantage of all favorable tax codes.
Responsible for the reporting, analysis, and integration of all future acquisitions in the US.
Establish and maintain systems and controls that verify the integrity of all systems, processes and data, and enhance the company's value.
Work closely with Supply Chain department to determine appropriate inventory levels
Prepare and analyze reports on Logistics network and recommend actions that improve the efficiency and service level of current infrastructure.
Respond to Global CFO as assigned with accurate and timely work to facilitate his financial needs.
Participate in a wide variety of special projects and compile a variety of special reports.
Prepare financial reports by downloading information from multiple sources and compile information into an informative and understandable spreadsheet.
Create and maintain monthly reports to compare and analyze actual results with budgets, forecasts, and previous results.
Recommend actions by analyzing and interpreting data and making comparative analyses.
Ensure accurate financial information for all company reports.
Report on revenues and expenses for all product types and customer types and identify incremental business opportunities.
Prepare and analyze ad hoc operational and financial performance analysis.
Measure and report on programs to determine the overall productivity and profitability of the program.
Accurate and timely processing of accounts payable, purchase orders, petty cash, core employee expense reports, cash control, core payroll processing and payroll tax compliance.
Oversee the activities of the accounts receivable department to ensure the accurate and timely management of all accounts receivable aging components including billings, cash receipts application, etc;
Work with Senior Accounting Manager to process quarter and year-end payroll closing including federal and state reports.
Knowledge of a variety of financial concepts, practices, and procedures
Must have excellent computer and technical skills, especially Excel, and proficiency using various software systems
Excellent written and verbal communication skills with strong personal image and poise
Strength in dealing with peer groups and senior executives
Demonstrate competence in decision making
Ability to take initiative, multi-task and work well under pressure
Require Education and Experience:
Bachelor's Degree or higher in a Finance related field
CPA license preferred
Minimum 10 years work experience in comparable field or position