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Company Info

Chilisoft
1234, Hampton St.
San Francisco, California (United States)

Phone: 803-111-2222
Web: http://websiteurl.com

Company Profile




Accountant


Job ID: 48622
Job Views: 28
Location: San Francisco, California, United States
Zip Code:
Job Category: Accounting
Employment Type: Full time
Salary:
Posted: 10.03.2011

Occupations

Accounting-Finance: Financial Control, Bookkeeping, Claims Review and Adjusting, Collections, Corporate Accounting, Corporate Finance, Credit Review-Analysis, Financial Analysis-Research-Reporting, Financial Planning-Advising, Financial Products Sales-Brokerage, Fund Accounting, General-Other: Accounting-Finance, Investment Management, Policy Underwriting, Real Estate Appraisal, Real Estate Leasing-Acquisition, Risk Management-Compliance, Securities Analysis-Research, Tax Accounting, Tax Assessment and Collections

Job Description

What we need:

Excellent interpersonal and communication skills.  Ability to effectively communicate orally and in writing with all levels within the organization, as well as external parties.
Motivated, self-directed and results-driven approach to work, also takes ownership of assigned tasks.
The ability to meet deadlines.
Capable of establishing effective working relationships that promote teamwork and collaboration.
Willingness and ability to resolve issues that arise in the performance of the job duties.
Able to work in a dynamic and changing work environment.
Proficient with MS Office Suite required
Oracle experience preferred but not required.
Bachelors degree in Accounting/Finance
Refined products and/or pipelines experience preferred but not required.


Job Requirements

Handling of counterparty inquiries.
Cash flow analysis, including preparation of draft package, wire, ACH and check requests.
Support the month-end close process, including preparation of journal entries and related analyses.
Gross margin analysis.  Analyze cost/revenue data and work with various departments to create accurate month-end financial statements.
Prepare monthly financial reports and variance analysis for internal and regulatory use.
Prepare monthly reporting packages for various balance sheet and income statement accounts.
Backup billing desk.
Assist in special projects as they occur.



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