Financial Analyst - Tampa Based
Job Description
Responsibilities
- Responsible for financial forecasting and planning
- Overseeing insurance and risk management
- Maintaining budgeting and forecasting models
- Performing financial modeling and analysis
- Aiding with business funding decisions
- Developing cost standards for materials and labor
- Designing and implementing cost accounting systems
- Preparing profit and loss models, balance sheets and other management reports to forecast financial outcomes
- Maintaining confidential financial information
- Performing budgeting variance and forecasting analysis for various levels of management
- Interact daily with executive management, project team leaders, sales managers and financial professionals.
- Planning, implementing, improving, monitoring and supporting financial business information across multiple departments
- Ensuring financial business data and reporting needs are met
- Developing and monitoring data quality metrics
- Organizing and formatting reports for distribution
- Accounting activities such as:
- Reviewing general ledger accounts and preparing and adjusting journal entries
- Performing account analysis and reconciliation, including bank statements and intercompany general ledger accounts
- Maintaining general ledger charts of accounts
- Assisting with initial internal control evaluations
- Posting monthly, quarterly and yearly accruals
- Managing the accumulation and consolidation of all financial data necessary for an accurate accounting of consolidated business results
- Coordinating and preparing internal and external financial statements
- Coordinating activities of external auditors
- Providing management with information vital to the decision-making process
- Managing the budget process
- Assessing current accounting operations, offering recommendations for improvement and implementing new processes
- Evaluating accounting and internal control systems
- Evaluating the effectiveness of accounting software and supporting database, as needed
- Developing and monitoring business performance metrics
- Overseeing regulatory reporting, often including tax planning and compliance
- Assist with special projects as required
Requirements
- Bachelor's degree in business, accounting or finance, or equivalent, is required
- 7 years proven experience finance/accounting positions in the professional service or IT industry.
- A thorough knowledge of general accounting procedures, reporting and expense analysis, and journal posting is required.
- Excellent computer skills are required, particularly Microsoft Excel
- Strong leadership, technology, analytical skills.
- Possess strong time management and analytical skills, attention to detail, and solid communication abilities.
- Experience implementing and/or using MS Dynamics
- Detailed knowledge and experience in the use of multiple Microsoft Office Products, including collaborative applications such as MS Teams, SharePoint, and One Drive
- Demonstrated analytical, reporting, communication, and presentation skills
- Ability to manage several different projects at various stages with ease
- Attention to detail and focus ability to protect against avoidable issues
- High emotional intelligence to be able to work in stressful situations with top priority outcomes
- Client service orientation
- Ability to work effectively within a remote environment and with remote team members.
Benefits
- Health Care Plan (Medical, Dental & Vision)
- Retirement Plan (401k)
- Life Insurance (Basic, Voluntary & AD&D)
- Paid Time Off (Vacation, Sick & Public Holidays)
- Family Leave (Maternity, Paternity)
- Short-Term & Long-Term Disability
- Training & Development
- Work from Home Program
- Wellness Resources
We are interested in every qualified candidate who is eligible to work in the United States. However, we are not able to sponsor visas.
Date Posted
04/07/2023
Views
7
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