Sr Corporate Accountant

Sorry, this particular job is closed. But feel free to fill out a General Application

Search Jobs

General Apply

  • As an Equal Employment Opportunity Employer, DAVIS has reporting requirements which require us to invite employees to voluntarily self-identify their race/ethnicity. Submission of this information is voluntary and refusal to provided it will not subject you to any adverse treatment. The information obtained will be kept confidential.
  • Accepted file types: pdf, doc, docx, txt, rtf.
  • By applying to this position and providing my contact information, I give The DAVIS Companies permission to provide me with email communications and information.

Sr Corporate Accountant

  • Specialty:

    Accounting & Finance
  • Title:

    Sr Corporate Accountant
    • City:

      Billerica
    • State:

      MA
    • Zip Code:

      01821
  • Start date:

    08-14-2018
  • Status:

    Closed
  • Assignment Type:

    Contract
  • Job Id:

    46168

Description

Davis National Staffing is partnering with a long-time client in the Biotech industry in northern Massachusetts to hire a contract (6+ months) Sr. Corporate Accountant with GAAP and SEC regulations background. If interested in this role, please apply with your Word formatted resume. To expedite the process, you can reach Rich Gardner with your resume at rgardner@daviscos.com.

Responsibilities:

New temporary project opportunity for a Sr. Corporate Accountant.  A key member of the Regional Finance Corporate Americas Team, the Sr. Corporate Accountant is primarily responsible for the coordination and preparation of the company’s internal financial reports and the preparation of consolidated financial statements and related analyses. Externally reported financial statements and disclosures are prepared in compliance with GAAP, SEC regulations, and company policies and procedures. Interacts effectively with the global finance teams to provide guidance on accounting and financial reporting matters.


Responsibilities:

  • Key member of the regional finance team working with the Manager of General Accounting to streamline and shorten the close and reporting cycle.
  • A key contributor of the monthly and quarterly closing and consolidation process. Identifies ways to improve the efficiency and effectiveness of consolidation and external financial reporting and leads process improvement initiatives.
  • Reporting of American legal entities for the actual, budget, and forecast purposes. Maintains the consolidation Analyzes monthly legal entity financial statements and other related correspondence included in financial data.
  • Work closely with the Business, Companies Controlling, Treasury, Tax, and Financial Reporting and Planning functions to ensure the quality, accuracy and consistency of the financial data reported in the general ledger and consolidation system.
  • Coordinate and prepare the supporting financial and statistical data utilized in the: Annual Report; SEC 10-Q and 10-K filings, cash flow statements, quarterly Board of Directors package, flux analyses and financial reports to shareholders and investors; and monthly financial reporting package.
  • Work effectively across the company’s functional organizations. Promotes effective lateral communication and coordination across groups, both internal and external to the Finance function, to improve efficiency and achieve desired results.
  • Ensure that all reports comply with applicable FASB and SEC regulations, professional standards, and organization policies. Prepares and assists applicable government reports.
  • Assist in the quarterly and annual audit of the consolidated financial information with both internal and external auditors.
  • Conduct financial studies and analyses as requested by management and further improves the quality of information collected in the month-end closing process.
  • Perform other duties as required.

 

Qualifications:

  • Undergraduate degree in accounting or finance required. CPA preferred.
  • 4-6 years of Big 4 public accounting experience preferred.
  • Expert current knowledge of US GAAP accounting and auditing standards, regulatory requirements, and company accounting policies and practices.
  • Strong business analysis, financial planning and reporting skills that generate business insights that add measurable value. Knowledge of current trends in finance and functional best-practices relating to position responsibilities.
  • Excellent at workload prioritization, resource management, and project management. Develops and manages processes that are effective and efficient.
  • Demonstrated ability to work effectively in a matrix environment, and capable of gaining commitment and coordinated action for initiatives. Maintains effective working relationships across the company, at the divisional, functional, and corporate level
  • Healthy comfort level with job ambiguity and change adaptability. Comfortable working outside of comfort zone and challenging status quo.
  • Highest standards of business ethics, honesty, and personal integrity.
  • Experience with SAP and BPC (consolidated financial system) preferred and with both internal and external financial reporting and consolidated financial analysis.
  • Excellent written and oral communication, interpersonal and presentation skills.

More Info

Contact

Similar Positions

Loading...