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You will be updated with latest job alerts via email• Ensure cash flow is appropriatefor the organization's operations • Preparingfinancial statements for external reporting purposes such as taxreturns, regulatory filings, and stock offerings • Monitoring cash flow to ensure that bills are paid on time and thatthere is enough money available to cover upcoming expenses • Preparing reports on company performance includingprofit and loss statements, balance sheets, and cash flow analyses • Reviewing financial records, contracts, and otherdocumentation to determine accuracy and completeness of data • Participating in or leading internal audits to assessthe effectiveness of internal controls within anorganization's financial management system • Conducting research to identify new accounting methods orprocedures which could improve efficiency or effectiveness ofoperations • Identifying issues with accounting processesor procedures that could lead to future errors ormisinterpretations of data MInimum 3 -5 experience in tradedivision with chain of business
Full Time