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Accountant

Robert Half
locationSpring, TX 77373, USA
PublishedPublished: 6/14/2022
Full Time

Job Description

Job Description

We are looking for a skilled Accountant to join our team in The Woodlands, Texas. This role requires a detail-oriented individual with extensive experience in financial management, reporting, and compliance. The ideal candidate will have a strong background in accounting practices and treasury operations, as well as the ability to coordinate with external advisors and manage administrative functions effectively.


Responsibilities:

• Oversee the reconciliation of monthly bank statements for all company accounts to ensure accuracy and compliance.

• Maintain accurate records of financial transactions, including sales, expenses, and asset management for both holding and operational entities.

• Supervise accounts payable and receivable processes, including intercompany reconciliations and inventory tracking.

• Manage month-end and year-end financial closings, ensuring compliance with regulatory standards and accuracy in reporting.

• Coordinate the preparation and issuance of financial statements, overseeing the work of external accounting and tax consultants.

• Monitor daily cash flow and liquidity needs, optimizing treasury operations for both short-term and long-term financial health.

• Facilitate intercompany funding activities, including loans and capital contributions, while ensuring proper documentation and compliance.

• Act as the primary liaison between the company and external advisors, auditors, and tax authorities to ensure timely and accurate communication.

• Support the development of financial models, budgets, and forecasts to guide strategic decision-making.

• Assist with administrative functions such as vendor management, contract administration, and corporate registration updates.


For immediate consideration, contact Mark, mark.loiacano@roberthalf

• Bachelor’s degree in Accounting, Finance or a related field.

• Bilingual in Spanish required

• A minimum of 5 years of experience in accounting or financial management.

• Proficiency in managing general ledger accounts and conducting detailed reconciliations.

• Strong knowledge of U.S. federal and state tax regulations and compliance procedures.

• Experience with treasury operations, including cash flow management and financial planning.

• Advanced analytical skills to develop budgets, forecasts, and financial models.


For immediate consideration, contact Mark, mark.loiacano@roberthalf

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