GL Cash and Bank Accountant (Santiago de Querétaro)

GL Cash and Bank Accountant (Santiago de Querétaro)

15 ago
|
Flowserve US
|
Santiago de Querétaro

15 ago

Flowserve US

Santiago de Querétaro

Role Summary:

The Financial Analyst examines financial data and uses their findings to help the company to make business decisions.
Responsibilities:
- Bookings and Backlog: review and report proper net Backlog values on a monthly basis.
- Monthly reconciliations: balance sheet and P&L; in accordance to US GAAP and local GAAP.
- Sox and Audit: maintain Sox compliance with Group Accounting Policies, Statutory Accounting Principles and Legal/Fiscal local regulations.
- Statutory Accounts: support for the Annual Financial Statement preparation

Requirements:
- Fluent English (speaking)
- Solid experience in bank reconciliatio as General Ledger
- Extensive Excel 2010 knowledge including advanced functions with Excel required (Pivot tables, Vlook ups, etc)
- Working knowledge of IFRS or US GAAP and SOX regulations
- Experience with structured ERP, Oracle or SAP and consolidated reporting systems.
- Experience in manufacturing industry is highly desirable
- Knowledge of Microsoft Access is valuable
- BS or BA Degree in relevant field and 53-5 years relevant experience

📌 GL Cash and Bank Accountant (Santiago de Querétaro)
🏢 Flowserve US
📍 Santiago de Querétaro

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