Responsibilities
- Lead month-end close working collaboratively with the Controller in order to produce and review of financial statements that are being reported internally and to PBH.
- Work with the Controller to provide reports to internal teams to allow them to understand and improve their operations.
- Analyze and report on monthly quarterly and year end variances.
- Maintain oversight of capital expenditures
- Perform journal entries balance sheet reconciliations and sales tax filings.
- Support cash flow forecasting treasury and hedging functions.
- Assist Controller in the budget process
- Provide support for requirements related to the annual financial audit tax returns and internal audit.
- Researching accounting issues for compliance with IFRS and Group Accounting Policies.
- Other ad-hoc projects as we continue to grow and develop.
Qualifications :
Qualifications And Experience
- CPA designation required.
- Good communication problem solving and organizational skills are essential.
- Ability to meet deadlines and work in a fast-paced international environment.
- Good knowledge of Microsoft Excel PowerPoint.
Remote Work :
No
Employment Type :
Full-time
Key Skills Cognos,Forecasting,Hyperion,Financial Concepts,Pivot tables,Accounting,Analysis Skills,Microsoft Excel,Financial Analysis,Financial Modeling,Budgeting,Financial Planning
Experience: years
Vacancy: 1