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You will be updated with latest job alerts via email1.Oversee A/P, A/R, treasury & monthly closing.
2.Prepare Financial statements and regulatory reporting Doc and analyze financial reports.
3.Assist at preparing and monitoring budget and assist with audit and taxes by preparing financial reports for tax, owner and regulatory agencies.
4.Maintain account balances and prepare bank statement and maintain healthy cash flow.
5.Assists executives by interpreting complicated financial information.
6.Assist CEO/Sales at selling price and at price list engineering
7.Oversee all aspects of accounts POs, Invoices, ensuring all appropriate backup is included.
8.Investigate cash and non-cash differences and deal with the department involved and advise executives about all the differences.
9.Analyze invoices to ensure correct products/services were received at the expected cost.
10.Collaborate with the departments heads to strategize ways to minimize waste.
11.Participate and monitor the budget results Actual vs. plan
12.Ensuring that health and safety regulations are followed.
Full-time