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Financial/Accounting Analyst, Remote USA

United States

Financial/Accounting Analyst, Remote USA

Intertek, a leading provider of quality and safety solutions to many of the top recognized brands and companies is looking for an ambitious Analyst to provide support to Finance and Operational teams by managing daily and monthly accounting tasks. You will be part of a team of professionals working to maintain order and transparency for the company’s finances. Preparing financial statements, reporting and driving cash collections are a large part of the analyst’s day-to-day work. The ideal candidate will be well-versed in accounting principles and able to work comfortably with numbers and attention to detail.

This is a great opportunity to Join Intertek's Electrical Business Line and be part of an experienced and energetic Finance team!

What are we looking for?

The Financial / Accounting Analyst position is responsible for supporting the Finance Director in coordinating the planning process related to budgeting, forecasting and month-end close, Treasury functions, as well as preparing financial reports with respect to multi business streams. 

Title: Financial Analyst

Location: Remote, USA - This is a remote position; however, applicants must reside in and be able to legally work in the United States.

Salary & Benefits Information

The base wage or salary range for this position is $70K - $90K Individual compensation packages are based on a variety of factors unique to each candidate including skill set, experience, qualifications, and other job-related reasons. 

In addition to competitive compensation packages, Intertek employees are eligible for a variety of benefits including paid holidays. When working with Intertek, you can expect a benefit package competitively placed within the local market, including medical, dental, vision, life, disability, 401(k) with company match, generous vacation / sick time (PTO), tuition reimbursement and more. 

What you’ll do:  

  • Assist with the Month End Close process, including Revenue and Expense reconciliations and related General Ledger entry preparation, liaising with both the local sites and the GL team
  • Assist with Cash Collections
  • Assist with annual budgets, liaising between the local sites and the regional finance team
  • Business partnership with site leaders to help them understand the P&L and ultimately help maximize profits
  • Participate in the management of fixed asset system updates, which will include fixed asset inventories.
  • Analyse income statements and perform variance analysis 
  • Research and reconcile transactional items as needed
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