Company:
Staff Financial Group
Location: Conyers
Closing Date: 07/11/2024
Salary: £100 - £125 Per Annum
Hours: Full Time
Type: Permanent
Job Requirements / Description
Corporate Controller
Responsibilities:
- 5 years of GL, Sales & Use Tax and Asset/Depreciation experience, with a demonstrated ability to make Qualified, Independent Decisions.
- Manage the day to day operations of the Accounting department to include Accounts Receivable, Accounts Payable, Payroll, Purchasing and General Ledger.
- Report and maintain the financial position of the company to the owners, president, and outside reporting establishments on a monthly, quarterly, and annual basis.
- Create analytical reports as needed using data mining from ERP modules for revenue and cost analysis.
- Manage the cash position of the company to include banking relations, credit policies and procedures, credit lines, reporting and balancing cash daily, and cash flow projections. Approve weekly cash disbursements.
- Treasury management.
- Maintain all contracts and leases.
- Maintain adequate reserves for cash, inventory, and accounts.
- Produce annual budgets for the company and individual departments, upload and maintain budget files.
- Update all costs into material and labor cost centers, and provide estimating and sales with annual machine and labor rates.
- File all tax returns for the company on a monthly and annual basis to include sales and use, personal property, and corporate taxes.
- Provide the auditor with all documents and schedules to prepare the annual audit and to file the annual tax returns.
- Responsible for the annual review of corporate business, workers compensation, and other insurances and assist in the final decision of insurance coverage.
Requirements:
- Bachelor’s Degree in Business or Finance.
- Position is hands-on in a fast-paced environment.
- Advanced Excel skills to include pivot tables and VLOOKUP.
- Experience with ERP systems.
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Staff Financial Group