- Train and supervise team members on all accounting processes.
- Attend periodic meetings and provide analytical support for management evaluation.
- Prepare & improve monthly financial & operational management reports.
- Support Treasury Operations & QSF Accounting team for reports
- Interface with QuickBooks Accounting, Microsoft Dynamics GP, Import Utilities and check processing vendor-software to complete check payments.
- Interface with multiple bank platforms to account for banking transactions.
- Develop & publish reporting metrics of KPIs.
- Pricing analysis including flash of financial results.
- Prepare financial trends and variance analyses comparing current operating results with prior operating results for operational actions.
- Maintain & create models to evaluate P&L impact of new client contracts and new product offerings.
- Evaluate P&L performance and ROI of clients and products.
- Setting goals & objectives of team members and conducting performance evaluation
- Perform additional duties as assigned to support the finance team.
- Understand and adhere to all company policies, including but not limited to security, trade secrets and confidentiality of all information.
Didn’t find the job appropriate? Report this Job