In this role, the successful candidate will be responsible for planning and scoping internal audit reviews, including utilization of data analytics techniques, to focus our efforts on key risks to the organization.
In this role, you will be responsible for supporting the Director, Treasury, various areas including monthly/quarterly financial statement close; cash flow forecasting, account reconciliations, acquisition integrations, internal & external reporting (Senior Management, Banks, and Business Partners) and ensures all reports are accurate and completed within specified timelines.
In this role, you will month-end close responsibilities (journal entries, balance sheet reconciliations and corporate submissions), expense management, forecast support for cost centers, and ad hoc analysis.
he Financial Analyst requires advanced Excel & Access skills, a solid work ethic; willing to grind through day to day to day reporting and transactional details. Management of financial process improvements as well as ensuring audit compliance requirements related to inventory controls
In this role, you will support companys three year planning and annual planning processes by providing key insights and analyses in furtherance of the companys value engineering objectives. Work with business partners in and out of finance to model initiatives for incorporation into the three year plan.
In this role, you will develop the annual budgets by aligning targets with lead business partner and then partnering with their organizations to set departmental targets based on market dynamics and historical performance.