Executive Job Description | $125-135K + Bonus - Masters Degree in Finance or Accounting, with three to five years experience as a Controller or above in an accounting position. CPA a plus. Experience in strategic planning and execution, knowledge of contracting, negotiating, budgeting and cost control principles - MATHEMATICAL and COMPUTER SKILLS: College level mathematics and statistics with solid expertise in Microsoft Word, Excel. and PowerPoint. Ability to calculate figures and amounts such as discounts, interest, commissions, percentages and volume, and distill complex multi-variable data into understandable graphs, charts, and reports for management decisions. ƒÞ Create, coordinate, and evaluate the financial programs and supporting information systems of the company to include budgeting, tax planning, real estate, conservation of assets, consolidation of group accounts, and transfer pricing between companies. ƒÞ Ensure compliance to financial accounting standards. ƒÞ Responsible for evaluating and enhancing company policies regarding export control, credit, and cost control. ƒÞ Approve and coordinate changes and improvements in automated financial and management information systems for the company. ƒÞ Directs company¡¦s financial strategy and planning in conjunction with CEO and Board of Directors. ƒÞ Ensure compliance with local, state and federal tax reporting requirements. ƒÞ Oversee the approval and processing of revenue, expenditure and position control documents, department budgets, mass salary updates, ledger and account maintenance. ƒÞ Coordinates the preparation of accurate and timely financial statements, financial reports, special analyses and information reports, by analyzing trends and opportunities for company growth and profitability. ƒÞ Ensure records systems are maintained in accordance with generally accepted auditing standards. ƒÞ Conduct internal audits and processes for maintaining and improving financial accuracy and compliance to company and government requirements and standards. ƒÞ Prepares and reports the companies financial performance to the CEO and Board of Directors, including participation in Company¡¦s Board Meetings. ƒÞ Oversee the capital structure and financing of company¡¦s debt, working with banks and other financial organizations in order to meet overall company objectives
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