Financial Accounting Manager - Perm
Apply NowCompany: Atlantic Partners
Location: Fort Lauderdale, FL 33311
Description:
Job Summary
The Financial Accounting Manager, is responsible for the comprehensive financial management of HoldCos and SPVs. This position encompasses daily posting and reconciliation of accounting entries, month-end processing, and maintaining detailed records of financial instruments. The role requires a high level of precision in computing and recording interest and dividend payments, as well as close collaboration with US and Canadian tax teams for year-end reporting.
Essential Duties and Responsibilities
Accounting Responsibilities:
Qualifications (Knowledge, Skills & Abilities)
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The Financial Accounting Manager, is responsible for the comprehensive financial management of HoldCos and SPVs. This position encompasses daily posting and reconciliation of accounting entries, month-end processing, and maintaining detailed records of financial instruments. The role requires a high level of precision in computing and recording interest and dividend payments, as well as close collaboration with US and Canadian tax teams for year-end reporting.
Essential Duties and Responsibilities
Accounting Responsibilities:
- Daily posting of accounting entries for HoldCos and SPVs that raise investor funds.
- Daily reconciliation of cash accounts for assigned companies.
- Responsible for month-end posting of periodic entries for assigned companies.
- Maintain supporting documentation for all journal entries.
- Maintain detailed spreadsheets of all promissory notes, debenture notes, preferred shares, and common shares.
- Compute period payment of interest and dividends on sub-debt, preferred shares and common shares, and reconcile with eCapital investor services and 3rd party custodians.
- Properly record interest and dividend payments in Sage 300 and assist with year end tax reporting in Canada (working closely with the Treasury Manager in Canada)
- Provide 3rd party CPAs with year end schedules in connection with Financial Audits and Tax preparation over assigned entities.
- Maintain schedules during the fiscal year for auditors and tax preparers.
- Ensure all balance sheet accounts for assigned companies are analyzed and reconciled to bank statements, source documents, and subsidiary systems on a daily and monthly basis.
- Responsible for the monthly, quarterly, and year-end closings of assigned companies.
- Prepare schedules and reports as requested by management, examiners, and auditors.
- Liaise with external tax accountants and compile requested schedules to determine tax payments and tax provisions.
Qualifications (Knowledge, Skills & Abilities)
- Bachelor's degree or higher in Accounting.
- Five years of progressive accounting experience in leadership roles.
- Advanced Excel skills, experience with Sage 300, QuickBooks, or other comparable ERP accounting systems and related reporting packages.
- Advanced experience in data extraction and manipulation from multiple sources for reporting and analysis purposes.
- Five years of experience in Trade Finance and/or the Financial Institutions industry.
- External/Internal audit experience.
- Experience with US GAAP and IFRS.
- Multi-currency accounting experience.
- Strong analytical skills with the ability to interpret and concisely summarize complex issues.
- Well-developed and proven written and oral communication skills.
- Excellent interpersonal skills with a strong customer service orientation and the ability to establish and maintain relationships at all organizational levels.
- Excellent attention to detail, ability to manage workflow, prioritize tasks, and meet deadlines.
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