Robert Half
Robert Half is hiring: Accounting Manager in Riverside
Robert Half, Riverside, IA, US
Job Description
Job Description
We are offering an exciting opportunity for an Accounting Manager to join our team located in Riverside, Iowa. This role is essential in our financial operations, engaging in tasks such as handling complex financial analyses, managing the financial close process, and conducting audits.
Responsibilities:
• Conducting thorough financial analysis and developing complex financial models
• Overseeing the month-end close process to ensure timely and accurate financial reporting
• Carrying out financial audits to ensure compliance and accuracy
• Coordinating the financial forecast to anticipate future financial trends and outcomes
• Preparing financial statements in accordance with accounting principles and regulations
• Performing bank reconciliations to ensure accuracy in financial records
• Undertaking balance sheet account reconciliation to maintain the integrity of financial accounts.• Proven experience with Month End Close processes
• Proficiency in carrying out Complex Financial Analysis
• Ability to develop and interpret Complex Financial Models
• Extensive knowledge of Audit procedures, especially pertaining to Financial aspects
• Familiarity with the Financial Close Process
• Experience in creating and maintaining Financial Forecasts
• Proficiency in Financial Statement Preparation
• Experience with Bank Reconciliations
• Ability to perform Balance Sheet Account Reconciliation tasks
Responsibilities:
• Conducting thorough financial analysis and developing complex financial models
• Overseeing the month-end close process to ensure timely and accurate financial reporting
• Carrying out financial audits to ensure compliance and accuracy
• Coordinating the financial forecast to anticipate future financial trends and outcomes
• Preparing financial statements in accordance with accounting principles and regulations
• Performing bank reconciliations to ensure accuracy in financial records
• Undertaking balance sheet account reconciliation to maintain the integrity of financial accounts.• Proven experience with Month End Close processes
• Proficiency in carrying out Complex Financial Analysis
• Ability to develop and interpret Complex Financial Models
• Extensive knowledge of Audit procedures, especially pertaining to Financial aspects
• Familiarity with the Financial Close Process
• Experience in creating and maintaining Financial Forecasts
• Proficiency in Financial Statement Preparation
• Experience with Bank Reconciliations
• Ability to perform Balance Sheet Account Reconciliation tasks