August 1, 2022 3:05 pm
Why work for this company?
What you will be doing….. • Work hand in hand with Corporate FP&A team in preparation of annual plan, quarterly forecast, and monthly reporting packages
• Coordinate with business unit management to gather, analyze, summarize, and prepare annual plan and quarterly forecast
• Work with Project Managers to define and set up Project/WBS structures to align with desired cost tracking and reporting requirements
• Ensure all project/cost center master data is created to allow downstream processes to function as designed
• Work with the Procurement team to ensure purchases are being allocated to the correct cost object at time of purchase order creation
• Review and code invoices for designated areas of responsibility
• Review project and cost center actuals for accuracy
• Prepare and submit correcting entries as needed
• Prepare and submit monthly accrual entries to ensure costs are accurately reflected for the period
• Prepare variance analysis explanations for actuals vs. plan and forecast
• Generate and distribute internal management reports for designated areas of responsibility
• Analyze and prepare supplemental data summaries for inclusion in monthly, annual, and quarterly reporting packages
• Support Treasury cash forecasting needs for cash-intensive activities
• Provide data to the Tax department to facilitate annual tax planning and reporting
Qualifications of the role: • Bachelor’s degree in accounting
• Minimum of 5 years of related experience
• Previous experience with SAP required;
• Intermediate to advanced skills with Microsoft Excel required
#CFSJuly2022
Posted by Dianedelgadolemaire
Categories: Job Openings
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