Responsibilities include:
Review detailed support for 10Q/10K
Coordinate the timely filing of unclaimed property including review of detailed reconciliation of A/R, A/P and Payroll
Financial planning and forecasting
Debt and interest rate swap accounting
Review forecast-to-actual variance analysis and other ad-hoc financial analysis as needed
Supervise two staff-level accountants
Review journal entries, month-end reconciliations and daily cash forecast