What are the responsibilities and job description for the Financial Operations Specialist position at Arena Family of Companies?
Company Overview
As a key member of the Arena Family of Companies, we are seeking an experienced Financial Administrator to play a pivotal role in managing our financial operations. With a strong focus on accuracy and efficiency, this position involves performing comprehensive financial analysis, managing accounts, and supporting budgeting and forecasting efforts.
Job Summary
The ideal candidate will be responsible for conducting financial analysis, budgeting, and forecasting, as well as preparing financial statements in alignment with company objectives. This position requires proficiency in QuickBooks and Excel, as well as strong knowledge of accounts receivable processes and procedures.
Key Responsibilities
- Conduct financial analysis, budgeting, and forecasting
- Prepare financial statements in alignment with company objectives
- Manage individual accounts, including creating, sending, and following up on invoices
- Perform routine calculations to generate detailed analyses and reports
Required Skills & Qualifications
- Proficiency in QuickBooks and Excel
- Strong knowledge of accounts receivable processes and procedures
- Excellent 10-key typing skills for precise data entry
- Familiarity with general ledger accounting principles
- Basic understanding of budgeting and forecasting concepts
- Solid grasp of debits, credits, and fundamental accounting practices
- Familiarity with tax regulations and reporting requirements
- Comprehensive understanding of financial concepts and terminology
Benefits
We offer a competitive benefits package that includes 80% paid for benefits for employee and 20% dependents. Our employees enjoy a collaborative work environment and opportunities for professional growth and development.
As a key member of the Arena Family of Companies, we are seeking an experienced Financial Administrator to play a pivotal role in managing our financial operations. With a strong focus on accuracy and efficiency, this position involves performing comprehensive financial analysis, managing accounts, and supporting budgeting and forecasting efforts.
Job Summary
The ideal candidate will be responsible for conducting financial analysis, budgeting, and forecasting, as well as preparing financial statements in alignment with company objectives. This position requires proficiency in QuickBooks and Excel, as well as strong knowledge of accounts receivable processes and procedures.
Key Responsibilities
- Conduct financial analysis, budgeting, and forecasting
- Prepare financial statements in alignment with company objectives
- Manage individual accounts, including creating, sending, and following up on invoices
- Perform routine calculations to generate detailed analyses and reports
Required Skills & Qualifications
- Proficiency in QuickBooks and Excel
- Strong knowledge of accounts receivable processes and procedures
- Excellent 10-key typing skills for precise data entry
- Familiarity with general ledger accounting principles
- Basic understanding of budgeting and forecasting concepts
- Solid grasp of debits, credits, and fundamental accounting practices
- Familiarity with tax regulations and reporting requirements
- Comprehensive understanding of financial concepts and terminology
Benefits
We offer a competitive benefits package that includes 80% paid for benefits for employee and 20% dependents. Our employees enjoy a collaborative work environment and opportunities for professional growth and development.