JOB DESCRIPTION
The position of Finance Analyst reports to the Cash Accounting Manager, in the Finance Department. The candidate will be responsible for Managing deposits by receiving, processing, verifying, and reconciling accounts. The Finance Analyst will have a demonstrated ability to research and resolve cash control issues in a timely fashion. The ideal candidate will be versátil, dedicated, self-motivated, and results-oriented.
JOB DUTIES:
- Updating/managing daily cash flow budget and reconciling bank balances
- Forecasting and P&L; planning.
- Daily Sales reporting and trends Analysis.
- Finance End of the month closing for accounting.
- Payment of premises rent Database creation for analysis.
- Merchant services and bank accounts are set up for openings.
- Food Cost Forecasting and Analysis.
- Food Cost and Payroll expenses tracking and analysis.
- Executive Committee reporting and Analysis.
- Bank supplies orders for restaurants.
- Reconcile daily cash deposits and investigate shortages
- Managing and disputing chargebacks from credit card transactions
- Maintains accounting ledgers by verifying and posting account transactions
- Verifies vendor accounts by reconciling monthly statements and related transactions
- Maintains historical records by filing documents
- Protects the organization's value by keeping information confidential
- Updates job knowledge by participating in educational opportunities
- Manage property tax bills and payment schedules
- Accomplishes accounting and organization mission by completing related results as needed
- Availability to work on occasional weekends
EDUCATION & SKILLS:
- Bachelor’s degree in Accounting or Finance from an accredited school (or in progress)
- 1+ years of relevant accounting experience
- Experience in the corporate environment using accounting software
- Strong attention to detail and thoroughness
- Ability to stay organized and manage time appropriately
- Strong analytical skills with the ability to spot patterns and discrepancies
- Must understand general rules of accounting
- Data entry skills with attention to accuracy
- Must be able to work independently on diverse tasks with strong follow-through
- Strong knowledge of Microsoft Office applications (Excel, Word, and Outlook).
- Respond well to a deadline-oriented environment
- Strong communication skills, both verbal and written
- Bilingual-English/Spanish
REQUSITOS:
- Contar con VISA y Pasaporte Vigente
- Disponibilidad para viajar
Tipo de puesto: Tiempo completo, Por tiempo indeterminado
Sueldo: $42,000.00 al mes
Beneficios:
- Seguro de gastos médicos mayores
Puede trasladarse/mudarse:
- 64000, Monterrey, N. L.: Trasladarse al trabajo sin problemas o planear mudarse antes de comenzar a trabajar (Obligatorio)
Pregunta(s) de postulación:
- VISA y Pasaporte Vigente
Escolaridad:
- Licenciatura terminada (Obligatorio)
Experiencia:
- Análisis financiero: 2 años (Obligatorio)
Idioma:
- Inglés (Obligatorio)
Disponibilidad para viajar:
- 75 % (Obligatorio)
Lugar de trabajo: Empleo presencial