GL Cash and Bank Accountant
About this role
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
Frequently Asked Questions
Is the salary disclosed for the GL Cash and Bank Accountant position at flowserve?
Where is the GL Cash and Bank Accountant position at flowserve located?
Is the GL Cash and Bank Accountant role at flowserve full-time or part-time?
Which team or department does the GL Cash and Bank Accountant at flowserve belong to?
How do I apply for the GL Cash and Bank Accountant position at flowserve?
You'll be redirected to flowserve's official application page on Workday.