Financial Planning and Analysis Manager
Dallas, Texas
Primary Responsibilities:
Manage daily activities for Accounting, Accounts Payables and some Treasury functions.
Manage the preparation and distribution of internal financial statements and reports, maintaining the highest quality, reliability and accuracy.
Manage monthly closing process, including reconciliations and analysis of related accounts.
Coordinate the Company’s annual audit with the independent auditors.
Develop and maintain the integrity of the financial reporting process and financial controls.
Coordinate, develop and update written policies and procedures over the financial reporting process.
Maintain and strengthen internal controls over financial reporting.
Research and resolve accounting issues.
Perform other duties as assigned by Leadership.
Education:
Bachelor’s Degree in Accounting or Finance. CPA required.
Qualifications:
4+ years of managerial experience
Public Accounting experience desired
Strong leadership skills required.