Related skills
forecasting financial reporting excel budgeting variance analysis📋 Description
- Manage day-to-day accounting: GL, AR, cash, reconciliations using QuickBooks
- Execute month-end close: journal entries, reconciliations, schedules
- Prepare and analyze monthly financial statements and management reports
- Support statutory, investor, and internal compliance reporting
- Assist budgeting, forecasting, and variance analysis; identify trends
- Build and maintain Excel-based financial models, reports, and automation templates
🎯 Requirements
- 3–5 years of relevant experience in accounting, audit, financial analysis, or taxation
- Certified Public Accountant CPA required
- Bachelor’s degree in Accountancy or related field
- Hands-on experience with QuickBooks mandatory
- Strong Excel proficiency with pivot tables and advanced formulas
- Solid understanding of financial reporting, month-end close, and accounting principles
🎁 Benefits
- 100% remote, work-from-home role
- Ownership of key accounting and financial analysis processes
- Exposure to investor reporting and compliance
- Structured processes with experienced finance leaders
- Automation, reporting, and end-to-end finance operations
- Collaborative and supportive global team
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