Cash & Bank - General Ledger Financial Analyst Senior
Flowserve Corporation
Cash & Bank - General Ledger Financial Analyst Senior
Responsibilities:
Lead internal and external transitions, job shadowingManage complex processes on multiple locations and systems simultaneouslySupport month end closing processes under US-GAAPUS GAAP Accounting & ConsolidationBalance sheet reconciliationMaintain SOX control documentationCreate and maintain process documentation (DTP)Support internal and external auditProvide information to business partnersAd-hoc analysisCoordinates Cash-Application, Payment and On-Site team members to ensure daily reconciliation of current accountsProcess improvement & harmonizationUnderstand systems and tools used by the teamRecognize and report opportunities of process improvementReport recurring issues and form action plans for resolutionLead projects to drive efficiencySupport and train colleaguesRequirements:
3+ years relevant experienceBachelor's Degree in related field (Economics, Accounting)Excellent verbal and written communication skills in EnglishConfident user of MS Office (Excel, Word, PowerPoint)Solid knowledge and experience in using Oracle or SAP (FICO modules)Ability to establish and maintain effective work relationships with stakeholdersUS GAAP or IFRS knowledgeAbility to manage multiple process flows simultaneouslyAbility to train and coach other team membersContinuous improvement mindsetStrong sense of ownership
Por favor confirme su dirección de correo electrónico: Send Email