- Reconcile and analyze balance sheet accounts for assigned companies.
- Prepare and review monthly journal vouchers for posting to General Ledger.
- Review inter-company balances and correct out-of-balance situations.
- Clear edits during month end close on a timely basis.
- Prepare schedules for the financial reporting group as assigned.
- Perform Balance Sheet and Income Statement review for assigned cost centers and companies.
- Complete special projects as assigned on a timely basis.
- Serve as liaison between field office personnel and Houston Corporate departments.
- Adhere to the month end close checklist to ensure all month end procedures are fully completed under the strict time schedule and to document such review on the checklist.
- Ensure compliance with the company’s policies and procedures.
- Maintain sufficient supporting documentation for all journal vouchers, income statement budget variance reports, MD&A and any other documents to support decision making.
- Maintain continuous compliance with the requirements of Sarbanes Oxley Obtain an understanding of company structures and organizational relationship of companies within regions and assigned companies.
- Prepare bank reconciliation of Houston controlled accounts.
- Prepare audit schedules as directed.
Diane Delgado LeMaire | Senior Managing Director, Accounting & Finance Recruiting | Creative Financial Staffing, a division of Fitts, Roberts CPA Firm | 5718 Westheimer Suite 800 | Houston, TX 77057 | 713-260-5238 | dcd@fittsroberts.com| Blog| Twitter| LinkedIn