| Descripción del Trabajo/Empleo |
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Responsibilities:
Manage month-end close processes and annual fiscal audit. Oversee standard monthly/quarterly reporting packages for senior management and the Board of Directors. Maintain and evolve the financial/analytical models used to forecast operating results, including P&L, Balance Sheet, and Cash Flow statements. Develop and manage internal control, policies, process and procedures. Special Financial reporting and analysis.
Required Skills & Experience:
Big 4 experience with CPA certification is required. Excellent communicator, interpersonal skills, ability to work with other staff members. Able to multi-task effectively. Excellent computer and spreadsheet skills. |
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