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Assistant Controller

The Tolan Group

This is a Full-time position in Norwood, NJ posted July 26, 2021.

This is a great opportunity for a senior accountant to take their career to the next level!

Company Description:

Established in 1984 and based northern New Jersey, this is premium brand of specialty footwear, biomechanically designed to provide consumers with ultimate, comfort and pain relief for an improved mobility and quality of life.

Extreme growth has necessitated the need for an Assistant Controller.

Benefits: 100% paid medical premiums, dental, vision , ltd, std , life insurance, 401K Generous PTO
Duties and responsibilities:
Reporting to the CFO, t he Assistant Controller will be responsible for executing a variety of financial procedures, including:

Support the CFO with various financial analyses including budgets /forecasting, reporting requirements month-end and year-end closings, accounts receivable, bank reconciliations, fixed assets and general ledger reviews, and board meeting materials

Post and process journal entries to ensure all business transactions are recorded

Maintain general ledger accounts and accurate reconciliation

Prepare documentation for external auditors

Assist with processing accounts payable invoices

Assist in the processing of balance sheets, income statements and other financial statements according to legal and company accounting and financial guidelines
Assist with reviewing of expenses, sales tax, payroll records etc.

Bachelor’s degree in Accounting

3+ years of accounting experience

Proficiency in Excel

Proficiency with accounting systems

Experience collaborating cross-functionally with different business stakeholders, clients, and teams

Job Requirements:
Prepare monthly management financial statements Cost accounting and general accounting staff Publish timely monthly consolidated financial statements Prepare financial statements and footnotes to financial statements Prepare monthly close journal entries and general ledger reconciliations Prepare monthly/quarterly reports and financial statements Analyze financial information to prepare financial statements Distribute financial statements including balance sheet Prepare monthly general ledger account reconciliations