Job Description
Responsibilities
- Preparation of inter-company profit elimination and other complex journal entries
- Maintain foreign exchange rate tables.
- Liaison between Corporate Accounting and IGT subsidiaries.
- Prepare balance sheet account reconciliations.
- Coordinate and prepare Cash flow statements.
- Manage corporate accounting projects.
- Maintain Chart of Accounts.
- Provide documentation for financial and SOX audits.
- Interact with both internal & external auditors.
- Implement process improvements and update policies & procedures.
- Perform monthly FX valuation process.
- Assist with month-end close activities.
- Prepare schedules for Q/K reporting.
- Ad hoc reporting and special projects.
First Year Goals:
After the first year, selected candidate will display expertise in preparation of consolidated financial statements. Candidate will also develop productive working relationships with Accounting and Finance business partners. Candidate’s goals and accomplishments are directly tied with the Company’s strategic objectives, and many exciting project objectives will be achieved.
