Cash & banking, supervisor
Flowserve Corporation
Job Description
Role Summary:As an Cash & Bank Supervisor, you will lead a team of accountants in assigned US GAAP accounting, including accruals, account reconciliation, recurring journal entries, consolidation, ad-hoc queries, and adjustments. You lead the team in month-end closings, reconciliations, and audit processes.This job is to work 3 days at Flowserve offices in QuerétaroResponsibilities:
Along with the transition team, supervise a team to transition general ledger responsibilities from US or EU sites into the Shared Service center.
Supervise a team of 6-8 accountants in day-to-day work.
Supervise the day-to-day accounting, month end closing processes and account reconciliations under US-GAAP.
Work with the site controllers to ensure accurate and controlled financial statements for their site.
Support internal and external audits.
Responsible for balancing team workload and ensuring month-end deadlines and other KPI targets are met for the team.
Help develop an environme...
Along with the transition team, supervise a team to transition general ledger responsibilities from US or EU sites into the Shared Service center.
Supervise a team of 6-8 accountants in day-to-day work.
Supervise the day-to-day accounting, month end closing processes and account reconciliations under US-GAAP.
Work with the site controllers to ensure accurate and controlled financial statements for their site.
Support internal and external audits.
Responsible for balancing team workload and ensuring month-end deadlines and other KPI targets are met for the team.
Help develop an environme...