Assistant Controller (Hybrid – 2 days in office) dlemaire@cfstaffing.com

Seeking an Assistant Controller near Hobby Airport (Hybrid 2/3)!

Why take an Assistant Controller role with this company?

  • Stable, Family Owned Company that has been in business for over 50 years!
  • Massive organization with plenty of room to grow your career!
  • Ability to mentor and train employees
  • Newly created role.
  • This is a polished and professional environment working with an exceptional and very talented team!
  • Succession plan! Work hand in hand with the Controller and CAO.
  • Live by their mission statement of being committed to excellence, customer service and integrity.

Perks of the an Assistant Controller role:

  • Strong medical benefit package
  • 401-K with match
  • Excellent PTO plan
  • Hybrid role
  • Base low to mid 100’s plus bonus

What an Assistant Controller will do..

  • Assist with preparation and analysis of monthly consolidated financial statements including consolidating entries, intercompany eliminations and various schedules.
  • Perform monthly budget analysis, development projects and overhead.
  • Assist with preparation of quarterly consolidated financial statements and quarterly debt compliance.
  • Prepare, analyze and distribute various financial reports.
  • Prepare bank reconciliations.
  • Prepare monthly entries for certain revenues
  • Evaluate contracts, prepare any necessary entries and monitor new leases for compliance with ASC 842.
  • Oversee development reimbursable, impact fee reimbursable and periodic receipts for reimbursements.
  • Analyze contracts
  • Perform NRV and cash flow analysis,
  • Reconcile numerous GL accounts and create miscellaneous reconciliation reports.
  • Assist with all audits including financial audit, 401(k) Plan audit and various other audits.
  • Research all technical accounting issues

What the company needs in an Assistant Controller:

  • Bachelors in Accounting required; CPA is highly preferred.
  • Requires 5 years of experience in a related corporate accounting or finance role with consolidated financial statements; public accounting/Big 4
  • Ability to communicate financial results and analytical findings
  • Strong initiative and ability to work collaboratively (in a team environment) as well as independently.
  • Strong understanding of accounting processes, procedures, and internal controls
  • Microsoft Dynamics 365 is a plus

100% Remote – Real Estate Controller Role – dlemaire@cfstaffing.com

Controller- Real Estate Investment & Development

Our client is one of the hottest Austin-based real estate investment & development firms. We are seeking an experienced Controller or Accounting Manager ready for the next step into a Controller role to support their growth. If you are an open-minded & resourceful accountant that consistently seeks new or creative ways to do your job more efficiently you may be the right fit for this group. This is a hands-on Controller role where you will be very involved in the day to day functions as well as oversight and leadership of the team.

PERKS OF THE CONTROLLER:

You are joining an innovative real estate investment company who strives to positively impact people and communities through their projects. Their projects include mixed use, residential, retail, and workplace in the hottest areas of Austin. Many of their projects utilize buildings that have lost their luster but have the most interesting and beautiful architecture and “bones”. Their specialty is bringing those buildings back to life!

Culture is extremely important to this group. They are a high performing team and want others with a strong work ethic to join their team. Work-life balance is also important to the team and you can expect to work an average of 40-45 hours weekly. The leadership team treats their employees with respect and wants to reward them for their hard work- the company continued growing and gave out bonuses in 2020!

Not only does this company have amazing projects that allow you to see the direct impact of your work but they are also passionate about giving back to the community.

WHAT THE CONTROLLER WILL DO:

The Controller will oversee and maintain financial reports, records, and GL, as well as reviews budgets and performs general accounting for complex projects and properties managed by the company.

  • Full-cycle monthly, quarterly, and annual accounting of operating real estate portfolio and development projects
  • Monthly and quarterly financial statements and supplemental reporting
  • Preparation and posting of monthly bank recs
  • Daily or weekly cash management cycle for multiple bank accounts
  • Monthly balance sheet reconciliation including follow-up of outstanding AR/AP
  • Monthly review of GL expenses & all AR/AP prior to posting
  • Monitor and review monthly receivables for accuracy, adjustments, and/or corrections
  • Review and activate leases in Yardi
  • Assist property management team with tenant ledger maintenance
  • Review and post monthly commercial billing for income-producing properties
  • Property Budgeting – Lead budget entry/review process and validate work of staff.
  • Prepare and post monthly, quarterly, and year-end expense and income accruals, utilize budgets to analyze variances
  • CAM -Review and post prior-year reconciliation charges annually.
  • Maintain loan management spreadsheet & REI
  • Maintain investor preferred return schedule monthly
  • Closeout of WIP development projects
  • Assist with capital draw requests for construction and development and prepare supplementary reports as needed with support from team.
  • Filing of quarterly sales tax returns on an as needed basis
  • Prepare partnership distributions for VP review & prepare annual GAAP/Tax/Equity reconciliations for review by Accounting Manager and VP of Accounting.
  • Implementation of internal controls
  • Preparation of management company and asset management company financials.
  • Consolidations & intercompany transactions
  • Maintain asset amortization and depreciation schedules
  • Management and oversight of accounting team

WHAT WE ARE LOOKING FOR IN A CONTROLLER:

  • BS in Finance or Accounting required
  • 6+ years in public accounting- audit or tax OR equivalent experience in property accounting with retail, office, and mixed-use properties.
  • Yardi Experience a plus

Sr. Analyst of Financial Planning and Analysis  100% Remote Opportunity – Houston based candidates only – dlemaire@cfstaffing.com

Creative Financial Staffing has recently partnered with a growing PE backed company located in Houston TX. Are you ready to join this incredible team?

About the Sr. Analyst of Financial Planning and Analysis Opportunity:

  • Strong missions statement to reduce environmental footprint
  • Dynamic and fast paced
  • Provide support for a $100M+ business

Perks of the Sr. Analyst of Financial Planning and Analysis role?

  • 100% Remote
  • PE Backed company
  • Company is in growth and acquisition mode!
  • Dynamic and fast paced
  • Visibility to C-suite executives
  • Career development opportunities

Overview of the Sr. Analyst of Financial Planning and Analysis role:

  • Manage financial and operational data from various software programs
  • Prepare internal reporting documents
  • Prepare presentations for senior-level executives.
  • Assist in monthly financial close
  • Assist in the production of monthly financial reporting packages.
  • Create annual budgets
  • Create presentation for board members
  • Maintain rolling financial / forecasting model.
  • Act as core analytical partners within the M&A and integration process.
  • Ad hoc strategic projects, as necessary.

Preferred Qualifications for the Sr. Analyst of Financial Planning and Analysis:

  • Bachelor’s Degree
  • 3-4 Years of Experience
  • High Proficiency in Excel
  • M&A experience

Supply Chain Majors!!!!!!! Seeking a Logistics Coordinator in Galleria Area

Why take a Logistics Coordinator role with this company?

  • Company is growing rapidly
  • Private Equity backed
  • Work hand in hand with the Manager who loves to train & mentor!
  • Work with an amazing team!
  • Work-life balance…truly!

Perks of the Logistics Coordinator role:

  • Very visible role.
  • Strong medical benefit package
  • 40-hour workweek
  • Hybrid Schedule

What the Logistics Coordinator will do…

  • Scheduling, shipping, and tracking of all vendor orders through, an excellence sense of organization, strategic planning, and keen attention to detail.
  • Monitoring transportation and warehouse processing of orders using software systems specifically designed to manage logistical functions.
  • Ensuring accurate and timely issue of shipping documents to the warehouse for shipments of orders to meet delivery timelines.
  • Serves as POC for the client fulfilment leaders and managers, vendor shipping team, Account management team as well as other internal and external collaborators.
  • Processes vendor shipments as per the contract.
  • Track and analyze mis-shipments to ensure they don’t occur again and address and resolve any issues with delayed shipments.
  • Reports any problems, issues, and losses to the Supply Chain manager.
  • Liaise with trucking companies to ensure timely pick up of shipments.

What the company needs in a Logistics Coordinator:

  • Associates Degree with experience or Entry Level Supply Chain graduate
  • 1 year experience in customer service or logistics industry
  • Excellent communication and problem solving skills
  • Ability to work well in a fast-paced environment

Nonprofit Accounting Manager – DT Houston – dlemaire@cfstaffing.com

About the Nonprofit Accounting Manager Role & Company:

  • Founded over 70 years ago!
  • Family feel with unbelievable passion for their mission.
  • Excellent benefits.
  • Hybrid schedule – work 1 to 2 days from home

Responsibilities:

Account Reconciliation

Monthly reconciliation with reports of:

  • Receivables to donor and other records
  • Revenue sales reports
  • Inventory supply and accounts
  • Contributed revenue to donor records

Financial Reporting

Preparation and distribution of:

  • Weekly cash update report to Director of Finance
  • Monthly internal financial reports
  • Monthly internal concessions reports
  • Monthly reporting and filing for sales and liquor taxes
  • Monthly expense reports
  • Updating comprehensive sales analysis report

Data Entry and Other

  • Journal entries
  • COGS
  • Payroll into general ledger
  • Provide project management for bank and merchant services
  • Oversee the daily and monthly duties of A/R and A/P personnel
  • Provide guidance to other departments on financial practices and procedures
  • Prepare for annual financial audit

Qualifications

  • 5 plus years of Accounting experience (nonprofit, retail or hospitality preferred
  • Accounting Degree
  • CPA preferred, but not required

Director FP&A – Southeast Houston – dlemaire@cfstaffing.com

Seeking a Director FP&A near Hobby Airport!

Why take a Director FP&A role with this company?

  • Stable, Family Owned Company that has been in business for over 50 years!
  • Massive organization with plenty of room to grow your career!
  • Ability to mentor and train employees
  • Newly created role. Build out a more formal finance function for the organization.
  • This is a polished and professional environment working with an exceptional and very talented team!
  • Succession plan! Work hand in hand with the COO and CAO.
  • Live by their mission statement of being committed to excellence, customer service and integrity.

Perks of the Director FP&A role:

  • Strong medical benefit package
  • 401-K with match
  • Excellent PTO plan
  • Hybrid role
  • Base low to mid 100’s plus bonus

What the Director FP&A will do..

  • Maintain and further enhance corporate consolidated financial model
    • Inventory management;
    • Develop profit and loss, balance sheet and cash flow forecasts based on cross-functional inputs;
  • Lead the company budget process, which includes but is not limited to the following:
    • Act as primary point of contact for inquiries regarding financial performance and budget/forecast;
    • Work with COO and city/division presidents to prepare operating revenue and margin forecasts;
    • Work with department heads to prepare operating expense and capital expenditure budgets;
    • Consolidate the operating revenue and expense and capital expenditure forecasts by month to prepare the annual plan and incorporate into the corporate consolidated financial model;
    • Analyze and report budget to actual performance throughout the year.
  • Develop and enhance monthly, quarterly, and annual financial reports and analysis and presentations for executive leadership.
  • Identify key financial metrics and derive insight on business performance.
  • Develop and enhance asset area forecasts and analysis, including trends and variances.
  • Prepare financial analysis of various business scenarios on an ad hoc basis, which includes but is not limited to the following:
    • Work with IT to automate information capture from disparate systems

What the company needs in a Director FP&A:

  • Bachelor’s degree in Finance, Accounting, Economics or similar discipline required
  • Master’s degree preferred
  • Requires 5+ years of relevant hands-on experience. Experience with the construction industry a plus.
  • Advanced business/financial modeling skills and high accuracy with numbers. PowerBI or Tableau would be preferred.
  • Strong initiative and ability to work collaboratively

Have you always wanted to break into the Healthcare field?

We have an AMAZING opportunity with a local Medical Office. Not only are they growing at their original location, they have plans to open their second location next year and with that current Practice Administrator is hiring someone who can take over her role.

We are looking for someone with a solid foundation in Accounting and also has an interest in learning how a Medical Office truly runs. No healthcare or medical experience is required.

In this role you will not only take over the Accounting you will be trained on:

Human Resources:

  • Recruiting
  • Evaluations
  • Onboarding
  • Benefits Administration

Accounting:

  • Accounts Payables
  • Accounts Receivables (oversee insurance receivables with billing staff)
  • Month end close and financial statement preparation
  • Bank reconciliations
  • Manage Petty cash
  • Payroll
  • Create new accounting procedures & policies to help run the office accurately & efficiently
  • Resolve insurance problems & work with attorneys if necessary
  • Resolve patient issues with bills if billers can’t resolve.

IT:

  • General IT issues
  • Set up staff on computers, security systems, medical systems
  • Purchase computers & software
  • Oversee leases of copiers
  • Coordinate with EMR, IT & various other vendors

Insurance & Hospitals:

  • Oversee the contracts for doctors, PA’s & practice with insurance companies & hospitals
  • Handle insurance issues when billing can not
  • Update all licenses, liability insurance, etc. for doctors
  • Attempt to keep up with changing insurance policies for biological medications
  • Work with pharmaceuticals on issues on new policies

Supervision:

  • Oversee Billing & meet with Senior Biller
  • Oversee Front Desk & meet with Front Desk Supervisor

Controller – 100% Remote Position

Interested in saving the planet?

  • CFS of New York is working with a Direct to Consumer firm and they are adding a Controller to their growing Finance team
  • This is a PE Backed firm that just went through a series of fundraising and in the past three years grown substantially in the sustainable household goods area and moving onto personal care in the upcoming year
  • This role will be reporting to the CFO with an opportunity to help grow an environmentally friendly organization, as well as growing the department
  • This firm has a niche product and the leader right now in their field. They are looking for someone who cares about the mission and who can help grow the company where it needs to be
  • This role is 100% remote and their HQ is based out of New York but the firm has expanded to Canada, parts of Europe and have intentions to move into the Asian markets as well
  • Competitive salary with potential of Equity in the company, great benefits including medical, dental, vision, 401k, and more.
  • The owners, C-Suite team are from a very impressive background combined of Big 4, Harvard grads, Private Equity experience professionals. As the Controller you will be surrounding yourself with the best team in the industry

Responsibilities of the Controller

  • Conducting the full accounting cycle including, not limited to, leading the month end close process
  • Managing the tax filling process including domestic & international sales tax requirements
  • Providing international accounting and inventory costing reports
  • Ad-Hoc responsibilities from the CFO

Qualifications of the Controller

  • 5+ to 12 years of relevant accounting experience; Public Accounting required
  • Bachelors in Accounting and Finance; CPA/MBA required
  • QuickBooks is a major plus and excellent Excel skills.
  • Having a growth mindset, make unexpected changes swiftly, and a team player

Senior Financial Analyst – Stafford – dlemaire@cfstaffing.com

CFS has partnered with a local company in Sugarland!


Position:
 Financial Analyst

Perks of the Financial Analyst:

  • Growing public company
  • Staff has great tenure
  • Family friendly culture
  • Great work-life balance

Essential Job Duties:

Budgeting and Forecasting

  • Manage the quarterly forecasting and annual budget cycles including making projections.
  • Develop and communicate instructions, tools, and timelines to various division managers who are responsible for forecast/budgets. Provide direct assistance to these personnel as needed.
  • Summarize and communicate changes in forecast for monthly presentation to Sr Mgmt.

Financial Analysis

  • Support the business through analysis of current trends, opportunities, and processes to drive efficiencies; understand ROI, financial, and operational impacts of ongoing programs, as well as new initiatives.
  • Review financial accounting information on a regular basis and certify correctness and completeness.
  • Work with Sr Mgmt to review various expenses and identify problem areas.

Reporting

  • Develop and prepare KPI schedules to determine trends and deviations from expected results.
  • Prepare PowerPoint presentations that summarize and visualize financial and KPI trends, conclusions, and recommendations – strong use of charts/graphs to rely information.
  • Prepare monthly Management Operating Report
  • Prepare reporting and analysis for budget, forecasts, and other financial plans to share with Sr Management Team.

Tax Analyst – Hybrid Role – Downtown Houston – dlemaire@cfstaffing.com

Must Have Highlights:

  • Bachelor’s Degree in Accounting
  • 6+ years of Tax related experienced
  • Federal and state corporate taxation

Position Summary:

Senior Tax Analyst state tax reporting requirements and ASC740 Accounting for Income Taxes. The Senior Tax Analyst will provide tax compliance and accounting expertise to various stakeholders including supporting accounting during the quarterly close process and management reporting.

Senior Tax Analyst Opportunity

Creative Financial Staffing has recently partnered with a local company located in Houston, TX. Are you ready to join this incredible team?

About the Senior Tax Analyst Opportunity:

  • Strong company values!
  • A company that prioritizes career development/mentorship
  • Flexible work environment

Perks of the Senior Tax Analyst role?

  • Visible & Direct point of contact with Tax Manager
  • Career development opportunities
  • Health, Dental and Vision
  • Casual work dress when in the office!
  • Hybrid Schedule

Overview of the Senior Tax Analyst role:

  • Prepare and review quarterly tax provisions, reconcile current and deferred taxes, and complete schedules for year-end audited statements and FERC regulatory reports
  • Provide tax information to appropriate groups for the preparation of internal budgets and forecasts
  • Provide tax consulting services related to regulatory income tax issues, including rate proceedings and quarterly reporting
  • Involved in income tax accounting and reporting functions and related day to day tax activities
  • Communicate with tax auditors and interact with appropriate government agencies on tax matters
  • Identify opportunities and develop new processes to obtain efficiencies in the tax preparation process and aid in strategic tax planning
  • Perform an active role in implementing new technology, initiation of continuous improvement opportunities and the ability to manage change.
  • Prepare federal corporate/partnership income tax returns
  • Prepare separate and combined state income and franchise tax returns

Preferred Qualifications for the Senior Tax Analyst:

  • CPA Certification
  • Partnership taxation and accounting for income taxes
  • Debt compliance reporting
  • SAP Experience
  • FERC Regulatory reporting

100 to 110K plus bonus

Senior Payroll – Multi-State – EADO – dlemaire@cfstaffing.com

Job Title: Senior Payroll Specialist

Must Have Highlights:

  • Bachelor’s Degree
  • 3-5 Years of Payroll
  • Multi state payroll experience
  • “Can-DO!” Attitude

Senior Payroll Specialist Position Summary:

This position provides overall payroll support to the organization. This person will directly work with managers to support their organization as well as provide payroll administration. Requires the ability to work independently in performing assignments. This position will have the opportunity to work with multiple states including MA and CA.

Senior Payroll Specialist Opportunity

Creative Financial Staffing has recently partnered with a local company located in Houston, TX. Are you ready to join this incredible team?

About the Senior Payroll Specialist Opportunity:

  • Business that is experiencing EXPLODING growth!

Perks of the Senior Payroll Specialist role?

  • PE Backed Company!
  • Opportunity to make a huge impact
  • Supportive Executive Leadership team!

Overview of the Senior Payroll Specialist role:

  • Payroll is executed on time and is correct
  • Reimbursements paid out on time (within 30 days)
  • Preparing and resolving all reimbursements and taxable wages issues
  • Ensure accurate entry of employee salaries, reported hours, bonuses, severance pay,
  • Ensure all payroll related tax filings are completed timely and accurately, including the
  • Work with tax agencies and payroll service providers to resolve tax issues
  • Ensuring compliance with company policies, relevant industry regulations, tax, and deduction laws.
  • Creating of new accounts with various federal, state, and local agencies as required
  • Work with team members to prepare year-end filings (W-2)
  • Correctly responding to employee inquiries with current Company policy and potential changes

Preferred Qualifications for the Senior Payroll Specialist:

  • Bachelor’s Degree
  • 4+ Years of job related experience
  • Paycor HRIS Experience preferred

Nonprofit Accounting Manager – Downtown – dlemaire@cfstaffing.com

About the Nonprofit Accounting Manager Role & Company:

  • Founded over 70 years ago!
  • Family feel with unbelievable passion for their mission.
  • Excellent benefits.
  • Hybrid schedule – work 1 to 2 days from home

Responsibilities:

Account Reconciliation

Monthly reconciliation with reports of:

  • Receivables to donor and other records
  • Revenue sales reports
  • Inventory supply and accounts
  • Contributed revenue to donor records

Financial Reporting

Preparation and distribution of:

  • Weekly cash update report to Director of Finance
  • Monthly internal financial reports
  • Monthly internal concessions reports
  • Monthly reporting and filing for sales and liquor taxes
  • Monthly expense reports
  • Updating comprehensive sales analysis report

Data Entry and Other

  • Journal entries
  • COGS
  • Payroll into general ledger
  • Provide project management for bank and merchant services
  • Oversee the daily and monthly duties of A/R and A/P personnel
  • Provide guidance to other departments on financial practices and procedures
  • Prepare for annual financial audit

Qualifications

  • 5 plus years of Accounting experience (nonprofit, retail or hospitality preferred
  • Accounting Degree
  • CPA preferred, but not required

Accounting Supervisor – E&C – Woodlands

Creative Financial Staffing has recently partnered with a local company located in Spring, TX. Are you ready to join this incredible team?


Position:
 Project Accounting Supervisor

Responsibilities

The Supervisor shall be responsible for, but not limited to, the following:

  • Ensures accuracy and timeliness of the project accounting functions. Oversees the daily operations of the project accountant including month and year end processes, revenue recognition, % of completion, accruals, and balance sheet and P&L variance analysis.
  • Calculation of Project Results using percentage of completion accounting or completed contract accounting methods, analysis and project reporting in compliance with US GAAP; including provisions related to projects.
  • Ensures proper governance of balance sheet by reviewing and approving account reconciliations with appropriate supporting documentation. Reconciling items are communicated and cleared in a timely manner.
  • Remains current in accounting principles to ensure continuous improvement of procedures for optimal departmental performance and accuracy.
  • Coordinate and supervise annual audits to be in compliance with US GAAP and SOX standards.
  • Drive business transformation of department with technology and continuous improvement initiatives while ensuring continued compliance with SOX controls.
  • Hires, trains, develops, and appraises project accounting staff effectively. Takes corrective action as necessary on a timely basis and in accordance with company policy. Consults with Human Resources as appropriate.

Qualifications

  • Bachelor’s Degree in Accounting, Finance, Business Administration or related field, or equivalent combination of education and experience.
  • Minimum five (5) years accounting and/or finance experience.
  • CPA and/or Master’s in Accounting required.

Financial Analyst – Stafford – dlemaire@cfstaffing.com

Position:  Financial Analyst

Salary: 90k-100k

Position Summary:

 IES Residential is looking for a full-time Financial Analyst who will be responsible for analyzing past performance against a plan;  forecasting future revenue and expenses for multiple divisions; and driving process improvements to help management and operations make strategic decisions.

Perks of the Financial Analyst:

  • Growing public company
  • Staff has great tenure
  • Family friendly culture
  • Great work-life balance

 Essential Job Duties:

Budgeting and Forecasting

  • Manage the quarterly forecasting and annual budget cycles including making projections.
  • Develop and communicate instructions, tools, and timelines to various division managers who are responsible for forecast/budgets.  Provide direct assistance to these personnel as needed.
  • Summarize and communicate changes in forecast for monthly presentation to Sr Mgmt.

Financial Analysis

  • Support the business through analysis of current trends, opportunities, and processes to drive efficiencies; understand ROI, financial, and operational impacts of ongoing programs, as well as new initiatives.
  • Review financial accounting information on a regular basis and certify correctness and completeness.
  • Work with Sr Mgmt to review various expenses and identify problem areas.

Reporting

  • Develop and prepare KPI schedules to determine trends and deviations from expected results.
  • Prepare PowerPoint presentations that summarize and visualize financial and KPI trends, conclusions, and recommendations – strong use of charts/graphs to rely information.
  • Prepare monthly Management Operating Report
  • Prepare reporting and analysis for budget, forecasts, and other financial plans to share with Sr Management Team.

Qualifications

  • Bachelor’s degree in Finance or Accounting
  • Minimum of 5 yrs experience in reporting, consolidation, and financial analysis
  • Advanced knowledge of Microsoft Office – Excel, Access, Powerpoint
  • Must be detailed oriented with strong organizational and analytical skills
  • Experience in construction industry a plus
  • Advanced spreadsheet and modeling skills; adept at learning and applying technology tools and resources
  • Ability to evaluate/manage priorities and deadlines in order to support unscheduled analysis and projects. 
  • Ensure confidentiality and integrity of financial data in compliance with GAAP, SOX requirements, and IES Residential policies.
  • Strong communication skills and ability to interact with all levels of management
  • Ability to work overtime when required for month-end, quarter-end, and year-end activities

Junior Financial Analyst – EADO – dlemaire@cfstaffing.com

About the Company and Opportunity:

  • Our client is a very reputable Non-Profit organization that has served the community for over 25 years.
  • This firm offers support to individuals with developmental disabilities to help them realize their potential in a world where they’re fully integrated.
  • The Accounting and Finance division is in growth mode and looking to add to their team.
  • Why work here:
    • The value of inclusion and teamwork is celebrated.
    • People and purpose are what their culture is all about!

Overview of the Analyst

  • Financial Planning and Analysis
  • Work with the CFO st on FP&A responsibilities
  • Assist in the development and updating of forecasting, headcount and budget models
  • Prepare monthly budget-to-actual reporting and variance analysis insights for budget owners
  • Prepare weekly, monthly and quarterly financial and business reports
  • Analyze data and prepare KPI reports for distribution to senior management
  • Assist in the preparation of presentation materials, including building charts that provide meaningful visualizations of data
  • Perform other ad hoc finance and business analyses/projects for stakeholders as needed

Preferred Qualifications of the Analyst:

  • BS Degree in Finance, Accounting, or Business Administration
  • 0-1 years of relevant experience with preferable exposure to FP&A and budgeting
  • Solid understanding of accounting and corporate finance fundamentals
  • Highly detail-oriented
  • Resourceful / able to find or develop compelling data
  • Team player with strong interpersonal skills
  • Excellent communication skills with the ability to present analysis in verbal or written form
  • Highly organized with ability to multi-task and meet deadlines in a fast-paced environment
  • Self-starter, results-oriented, has a positive attitude and hunger to learn
  • In-depth experience using Microsoft Excel and PowerPoint

Global Treasury Analyst -Woodlands – dlemaire@cfstaffing.com

Creative Financial Staffing has recently partnered with a chemical company located in The Woodlands, Texas.

Overview:

In this role you will be managing bank accounts, administering online bank systems, processing electronic payments and cash positioning.

Why work for this company!

  • The company is a leader in its niche.
  • They offer a comprehensive benefits package.
  • Hybrid Schedule!
  • The company has huge growth plans!!!!
  • Located in North Houston

Overview of the Global Treasury Analyst

  • Process daily payments from various bank accounts (checks, domestic/international wire transfers, and ACH transfers)
  • Prepare daily liquidity report for Management
  • Utilize PC and/or ERP systems and software to compile and prepare reports, graphs, and charts of data developed.
  • Work with/evolve the Treasury Dashboard and KPI’s
  • Reconcile cash clearing accounts for electronic payments and bank statement posting
  • Review and approve new vendor setups
  • Assist with managing operational banking relationships of the Company, including all information associated with the bank accounts
  • Prepare documentation to open and close bank accounts, and update account signatories
  • Work with AP/AR/Back Office group to investigate and resolve any payment inquiries
  • Research and respond to all business and bank-related inquiries in a timely manner
  • Assist in administering the credit card programs
  • Ensure compliance with internal controls and assist with responding to requests from internal and external audit teams.
  • Perform other duties as assigned to ensure efficient operation of the Treasury Department.

Qualifications of the Global Treasury Analyst

  • Bachelor’s degree in Finance, Accounting, or Business Administration preferred.
  • 2-4 years of relevant work experience within a treasury function of a multinational organization.
  • A proficient level of experience with Microsoft Excel (pivot tables, v-lookups, etc.) is strongly preferred.
  • Strong analytical, problem solving, and decision-making skills.
  • Excellent communication skills, both written and verbal.
  • Fluent in English, bilingual in Spanish or Portuguese preferred but not required
  • Ability to work in a team environment with minimal supervision
  • Ability to multi-task and work well under time pressure to meet deadlines

Staff Accountant – Hybrid – Downtown Houston – dlemaire@cfstaffing.com

Why take a Staff Accountant role with this company?

  • Company is growing
  • A key part of the corporate team
  • Work & Live close to Houston (hybrid schedule)
  • Beautiful Office Space
  • Looking for someone who wants has aspirations to manage someday!
  • The current Controller was hired as an Accountant and moved his way up!

Perks of the Staff Accountant role:

  • Strong medical benefit package
  • 401-K with a 9% match
  • Free parking
  • 8 to 4 or 9 to 5 work schedule when in the office (Hybrid)

What the Staff Accountant will do…

  • Accounting/Bookkeeping – Prepare journal entries for month-end and year-end closing for Controller’s review.
  • Develop and maintain various spreadsheets for amortization of prepaid expenses, depreciation, grants, restricted contributions, and other specialized needs; reconcile special account activity, special contributions, compensation, and other specific accounts monthly and as needed.
  • Assist in preparation of audit schedules and confirmations.
  • Prepare monthly bank statement reconciliations for all seven entities. Reconcile all employee credit card purchases to monthly statements. Maintain various spreadsheets, such as recurring support payments, grants, pension payments and credit card charges
  • Research and reconciliation projects for Controller as needed. Performs special and specific financial and statistical projects as assigned by the controller.
  • Accounts Receivable – Prepares accounts receivable analysis report. Assist with calculating and tracking assessments and mission funding commitment responses for over 150 locations.
  • Perform entry, processing and monthly/quarterly reporting of account receivables for various entities. Record and track all payments received via Lockbox and/or scanned
  • Create invoices for Medical Insurance reimbursements, and payroll reimbursements.
  • Record all receipts collected through online accounts
  • Vendor Maintenance: Create and/or maintain vendor information accurately. Ensure that vendor records are up to date, complete, and in compliance with Federal 1099 reporting.
  • Financial Reporting/Analytics – Prepare draft of monthly and year-end financial reports for review by Controller; monthly and reports to ministry programs and congregations and specialized reports as needed.

What the company needs in a Staff Accountant:

  • Bachelor of Business Administration / Finance
  • Personable and professional in person, on phone, and online.
  • Demonstrated ability to handle confidential information.
  • Strong organizational and administrative skills. Knowledge of Excel, Microsoft Office, and PowerPoint.

Senior SEC Accountant / Lead SEC Accountant – Woodlands, Texas – dlemaire@cfstaffing.com

Creative Financial Staffing has recently partnered with a chemical company located in The Woodlands, Texas.

Why work for this company!

  • The company is a leader in its niche.
  • They offer a comprehensive benefits package.
  • Looking for someone who would love to take a company public! Learn the IPO process and everything that goes along with it.
  • Hybrid Schedule! In-office to start with some more flexibility the closer they get to the IPO.
  • Get exposure to implementing web filing software, debt covenants reporting, and internal reporting packages.
  • Work for a manager who loves to train and mentor!
  • Located in North Houston

Overview of the SEC role:

  • Preparation and review of internal and external financial statements including drafting and review of footnote disclosures and preparation of cash flow statement
  • Assist in the preparation and review for filing of all SEC forms 10-K, 10-Q, and 8-Ks to ensure compliance with SEC regulations, US GAAP accounting, and XBRL reporting requirements
  • Assist in the preparation of quarterly earnings press release, including the narrative and financial tables;
  • Provide support to FP&A throughout the quarterly earnings process and assist with the review of the earnings script and supplemental materials;
  • Remain current on new and upcoming accounting guidance issued by the FASB and SEC;
  • Assist in providing technical accounting analysis for complex transactions in accordance with GAAP, including review of contracts, documentation of analysis, and conclusions
  • Assist in the research and analysis of new accounting pronouncements
  • Provide support for the filing of the proxy statement;
  • Assist in developing and maintaining accounting policies, process and internal controls consistent with GAAP and Sarbanes Oxley Requirements
  • Act as a liaison with external auditors in conjunction with annual year-end audit and interim reviews, as well as SOX compliance

Qualifications of the SEC role:

  • 3-5 years of experience in public accounting/corporate financial reporting for SEC-registered companies
  • Extensive experience with SEC filings form 10-K, 10-Q, 8-K required
  • Big Four or large regional public accounting experience preferred
  • CPA required
  • Experience in utilizing SEC filing software preferred
  • Expertise in U.S. GAAP and IFRS Statutory reporting
  • Experience with working with a global team in different time zones
  • Must be an analytical thinker, comfortable taking initiative to develop and recommend solutions
  • Open-minded and culturally sensitive; well-structured and self-drive work approach; innovation-driven

East Houston – Accountant – dlemaire@cfstaffing.com


About the Company and Opportunity:

  • Our client is an established, private equity-backed company with goals to grow via acquisitions.
  • Why work here:
    • Amazing chance to work for a PE-backed company
    • The role is a good blend of accounting & finance.
    • Great opportunity that allows you to come in and make an immediate impact.


Overview of the Accountant 
role:

  • Prepares revenue variance analysis and explains major forecast fluctuations.
  • Maintains and analyzes cash flow forecast.
  • Preparation and analysis of Invoicing, Revenue, and resulting metrics.
  • Prepares general ledger (G/L) account reconciliations for assigned accounts on a monthly basis.
  • Performs a daily analysis of posted production.
  • Monitors and manages clients’ accounts.
  • Prepares and processes invoice adjustments/ credit memos as well as related accounts receivable/ revenue/ bad debt journal entries.
  • Assists with the annual budgeting process.
  • Assists in financial audits and implement audit recommendations.
  • Assists with month-end close by preparing journal entries and conducting month-end reconciliations.

Preferred Qualifications of the Accountant:

  • 2+ years of Accounting experience
  • Strong MS Excel
  • Effectively communicate with others
  • Work well in a team environment