Passionate and motivated. Driven, with an entrepreneurial spirit. Resourceful, innovative, forward thinking and committed.
our people embrace these qualities, so if this sounds like you then please read on!
Job details :
Responsible for preparation and oversight of financial statements, including maintaining balance sheets (account reconciliations and bank reconciliations) as well as preparing and analyzing the P&L.
Assist in preparation of all key forecast and budget schedules across an array of companies and locations; analyze forecast/budget data and assist in preparation of required forecast/budget schedules.
Month end close and SOX reporting
Fixed cost review and management, including recording of appropriate accruals
Make sure that all receivables, receipts, and payable items are processed and recorded accurately and timely; participate in and monitor collection of receivables
Maintain barter file/log for all barter deals, preparing both transaction reports for each event and the quarterly barter activity report
Assist in preparation of all applicable sales and use tax returns
Assist with special projects as assigned
Responsibility for company Audit Compliance, as it pertains in particular to Finance, Box Office, and Payroll.
Performs and executes settlements and flash reports, as needed
Interacts, supports and builds relationships with Managers
Bachelors degree in Accounting or Finance, CPA and/or MBA preferred
5-7 years comparable work experience
3+ years experience in financial statement preparation / general ledger accounting experience
Strong Microsoft Office skills, particularly Microsoft Excel
Oracle experience preferred but not required
Possess excellent organizational, communication, and analytical skills with the ability to prioritize and handle multiple tasks simultaneously in a fast paced environment