Prepare and analyze client financial records and execute a variety of financial procedures, including month-end and year-end closings, accounts payable and receivable, tax returns, bank reconciliations, general ledger entries, forecasting and budgeting. Analyze corporate financial operations to ensure the business is running efficiently. Perform budget and cash-flow analysis. Perform job cost analysis of working capital requirements and access to capital market opportunities. Provide merger and acquisition support services. Provide audits, attest review, and compilation services as well as tax services for federal and state income tax planning and compliance. Provide sales, use, and property tax services as well as review of financial statements and data and ensure financial compliance.
Location: Various unanticipated locations throughout the U.S.; Telecommuting permitted.
Software Powered by iCIMS
www.icims.com