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Cash & Banking, Supervisor

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 Querétaro Responsibilities: Along with the transition team, supervise a team to transition general ledger responsibilities from US or EU systems to SAP, ensuring accurate and timely financial reporting. Coordinate with internal stakeholders to ensure compliance with accounting policies and procedures. Develop and maintain relationships with key stakeholders, including external auditors, tax authorities, and other relevant parties. Ensure that all financial transactions are properly recorded, reported, and reconciled in a timely manner. Provide guidance and support to team members on accounting principles, policies, and procedures. Identify and address any discrepancies or issues related to financial reporting. Develop and implement process improvements to increase efficiency and reduce costs. Analyze and interpret financial data to inform business decisions. Ensure that all financial reports are accurate, complete, and compliant with relevant regulations.

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Company information

Company
Flowserve Corporation
Location
México, Querétaro
Mexico
Posted
4 months ago

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