In this role, you will be responsible for analyzing trends, costs, revenues, financial commitments, and obligations incurred to predict future revenues and expenses. Reports organization's finances to management, and offers suggestions about resource utilization, tax strategies, and assumptions underlying budget forecasts. Familiar with a variety of the field's concepts, practices, and procedures.
This position is in the System and Cash Control area of Financial Accounting. The position will be responsible for learning and understanding the accounting functions of the retail and lease servicing systems and their impact on general ledger, cash, customers, and clients.
In this role, you will assist with other quarterly and year-end reporting tasks, such as status assessments, submission and production tracking, metrics, due diligence over internal controls and key information
Responsible for managing the organizations accounting functions including preparation and analysis of financial reports, budget preparation, cash management, and federal/state report filings along with other functions as assigned.
Responsible for journal entries, account reconciliations, technical accounting research, assisting with various monthly and quarterly reporting, assisting with the preparation of financial statements and reports, and more.
The primary emphasis of the Tax Accountant II (SUTA) is compliance with federal and state unemployment reporting requirements and timely payments.This position plays a major role in the output of the organization by complying with statutory requirements and minimizing late payment penalties.
In this position, you will handle all the day-to-day accounting duties of both the firm and its venture capital funds (limited partnerships), including but not limited to: A/R, A/P, G/L, banking, payroll, capital calls, capital allocations, distributions, financial statements and working with our outside CPA/Audit firm.
Assists in the preparation of monthly financial statements and management reports. Assists in collection of Accounts Receivable and prepares account reconciliations as needed. Assists in internal and external audits.