Objective
This position is responsible for most general accounting, project accounting, invoicing, cash collections, and financial reporting activities of the Company. Manages, computes, classifies, records and verifies numerical data for use in maintaining account records by performing the following appropriate duties.
Responsibilities
Prepares manual journal entries related to maintenance of the Company’s general ledger
Assures transactions are recorded in the general ledger in accordance with commonly accepted accounting principles and accounting procedures specified by the Company
Performs accounts receivable activities including generation of customer invoices and credit memos and posting of cash receipts
Performs project set-up and financial maintenance, including loading budget, client invoicing, review of project expenses, maintaining contracts and project files, monitoring project’s progress, etc.
Reviews bank financial records and maintains bank accounts by verifying daily cash receipts and updating receivable balances; prepares and makes bank deposits and fund transfers
Performs general accounts analysis and reconciliation including sub-ledger accounts, bank statements, accruals, prepaid expenses, and record adjustments and reclassification of journal entries
Generates and reconciles entries for inter-company transactions
Performs System Functions to international currency translation and record gains and losses from exchange rate fluctuations for related party transactions
Maintains fixed assets accounts and establishes associated depreciation schedule
Develops amortization schedules for prepaid and deferred items
Prepares month-end COGNOS reporting (Financial statements and supplemental schedules)
Transfers employee time entries to payroll section of AX database
Processes payroll and HAS contributions
Assists with analyzing financial statements and variance reporting
Participates as subject matter expert and data provider in connection with the Company’s annual financial audit
Assists in preparation of the annual audited financial statements
Participates as requested in sales tax calculation and payment processes
Ad hoc reporting, analysis, and special projects, as requested by Controller or the leadership team
Supports Project Managers with accounting functions including expenses, invoices, and billing issues
Provides backup and support to Accounts Payable
Assists with annual budget and quarterly forecasting
Assists Financial Controller
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