ESR Healthcare
Financial Reporting Manager Chicago, Illinois JHRA RW
ESR Healthcare, Chicago, Illinois, United States, 60290
Financial Reporting Manager
Chicago, Illinois | January 29, 2020
Salary:
$120,000.00
Openings:
1
Deadline:
None (Until Hired)
Recruiter's Placement Guarantee:
90 days
ESSENTIAL DUTIES AND RESPONSIBILITIES:
Work with various levels of employees/management throughout the organization (C-suite, subsidiary controllers/managers/staff) and external relationships (bankers, auditors).
Financial Reporting
Lead the Company’s external SEC financial reporting process, including preparation of consolidation, SEC reports (10Q, 10K, 8K, proxy, etc.).
Support technical positions with research and provide technical interface with external auditors.
Assist in content and timing of press releases and external guidance commentary.
Prepare internal management reports to support month, quarter, and year-end work.
Monitor and ensure timely identification and compliance with evolving accounting guidance, provide GAAP interpretation and prepare technical memorandums that document issues in a clear, logical, and comprehensive manner.
Ensure complete and accurate disclosures in all public filings.
Support quarterly reviews and annual audits with external auditors.
Work with external auditors to ensure agreement with company decisions on accounting disclosures and issues.
Accounting Functions
Manage Corporate accounting process including: accounts payable/receivable, cash receipts, general ledger, payroll, variance analysis.
Work with FP&A on company budgeting, forecasting, account reconciliations, etc.
Monitor and analyze accounting data and prepare KPI reports as requested.
Maintenance of fixed asset sub-ledger including book and tax depreciation.
Complete various required compliance reports.
Treasury
Primary contact for treasury management.
Daily monitoring of cash availability/debt balances/borrowing and/or pay down of revolving line.
Set up/maintenance/security for online banking users throughout the consolidated company.
Oversee monthly compliance reporting.
Optimizing investment returns.
Reporting on daily cash balance and cash projections.
EDUCATION AND/OR EXPERIENCE:
Bachelor's degree in Accounting or Finance; 10 years related experience; CPA desirable.
Public accounting experience with SEC clients.
Understanding and knowledge of generally accepted accounting principles, practices, standards, laws, and regulations.
Knowledge of public reporting requirements.
Experience with JDE or similar ERP.
Excellent computer skills on MS Office, especially Excel.
Ability to multi-task while being detail-oriented.
Good time-management skills.
Personable – able to work in a small corporate office with high energy and engagement.
Self-starter, confident, entertainer. Enjoys coming to work in a change environment with M&A activity, a “business pivot,” and new management.
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Chicago, Illinois | January 29, 2020
Salary:
$120,000.00
Openings:
1
Deadline:
None (Until Hired)
Recruiter's Placement Guarantee:
90 days
ESSENTIAL DUTIES AND RESPONSIBILITIES:
Work with various levels of employees/management throughout the organization (C-suite, subsidiary controllers/managers/staff) and external relationships (bankers, auditors).
Financial Reporting
Lead the Company’s external SEC financial reporting process, including preparation of consolidation, SEC reports (10Q, 10K, 8K, proxy, etc.).
Support technical positions with research and provide technical interface with external auditors.
Assist in content and timing of press releases and external guidance commentary.
Prepare internal management reports to support month, quarter, and year-end work.
Monitor and ensure timely identification and compliance with evolving accounting guidance, provide GAAP interpretation and prepare technical memorandums that document issues in a clear, logical, and comprehensive manner.
Ensure complete and accurate disclosures in all public filings.
Support quarterly reviews and annual audits with external auditors.
Work with external auditors to ensure agreement with company decisions on accounting disclosures and issues.
Accounting Functions
Manage Corporate accounting process including: accounts payable/receivable, cash receipts, general ledger, payroll, variance analysis.
Work with FP&A on company budgeting, forecasting, account reconciliations, etc.
Monitor and analyze accounting data and prepare KPI reports as requested.
Maintenance of fixed asset sub-ledger including book and tax depreciation.
Complete various required compliance reports.
Treasury
Primary contact for treasury management.
Daily monitoring of cash availability/debt balances/borrowing and/or pay down of revolving line.
Set up/maintenance/security for online banking users throughout the consolidated company.
Oversee monthly compliance reporting.
Optimizing investment returns.
Reporting on daily cash balance and cash projections.
EDUCATION AND/OR EXPERIENCE:
Bachelor's degree in Accounting or Finance; 10 years related experience; CPA desirable.
Public accounting experience with SEC clients.
Understanding and knowledge of generally accepted accounting principles, practices, standards, laws, and regulations.
Knowledge of public reporting requirements.
Experience with JDE or similar ERP.
Excellent computer skills on MS Office, especially Excel.
Ability to multi-task while being detail-oriented.
Good time-management skills.
Personable – able to work in a small corporate office with high energy and engagement.
Self-starter, confident, entertainer. Enjoys coming to work in a change environment with M&A activity, a “business pivot,” and new management.
#J-18808-Ljbffr