What are the responsibilities and job description for the Financial Reporting / Consolidation Analyst position at Integrity Careers LLC?
Job Overview:
We are seeking a mid-senior level Financial Reporting and Consolidation Specialist with at least 5 years of experience in accounting and financial consolidation. This role is responsible for overseeing financial statement consolidation, preparing analytical reports, and ensuring compliance with IFRS and US GAAP. The ideal candidate will have strong experience with financial reporting systems, SAP, and ERP tools, and will collaborate closely with various finance and business teams.
This position is offered in multiple locations with a hybrid work schedule (2 days in-office per week) in the following cities:
π New York, NY
π Houston, TX
π Minneapolis, MN
π Oakland, CA
π San Diego, CA
π° Estimated Salary Range: $90,000 β $109,000 (based on experience).
Key Responsibilities:
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We are seeking a mid-senior level Financial Reporting and Consolidation Specialist with at least 5 years of experience in accounting and financial consolidation. This role is responsible for overseeing financial statement consolidation, preparing analytical reports, and ensuring compliance with IFRS and US GAAP. The ideal candidate will have strong experience with financial reporting systems, SAP, and ERP tools, and will collaborate closely with various finance and business teams.
This position is offered in multiple locations with a hybrid work schedule (2 days in-office per week) in the following cities:
π New York, NY
π Houston, TX
π Minneapolis, MN
π Oakland, CA
π San Diego, CA
π° Estimated Salary Range: $90,000 β $109,000 (based on experience).
Key Responsibilities:
- Manage and oversee financial consolidation processes, ensuring accuracy and compliance
- Prepare Balance Sheet, P&L, and Cash Flow Statements for assigned segments
- Validate and upload financial data into BOFC (Business Objects Financial Consolidation) or Hyperion Financial Management (HFM)
- Work closely with Corporate Finance, Tax, Treasury, and Accounting teams to manage financial transactions
- Provide financial analysis and reporting support for internal stakeholders and auditors
- Research and apply IFRS accounting standards, preparing impact analysis reports and training materials
- Act as the primary liaison for external auditors, preparing necessary schedules and documentation
- Collaborate with global finance teams to ensure seamless reporting processes
- Assist in cash flow analysis and other financial data requests
- Support process improvement initiatives and financial system enhancements
- 5 years of accounting experience, preferably with consolidation expertise
- Bachelorβs degree in Accounting, Finance, or related field required
- Experience working in an international financial environment, particularly in Renewables or Energy sectors is a plus
- Proficiency in SAP, ERP systems, BOFC, or HFM preferred
- Strong Excel skills and familiarity with Microsoft Office Suite
- Knowledge of US GAAP and IFRS accounting principles
- Strong analytical, problem-solving, and communication skills
- Ability to work both independently and collaboratively within a team
- Experience leading financial projects and working with cross-functional teams
- Hybrid work model (2 days in-office per week)
- Locations: New York, Houston, Minneapolis, Oakland, San Diego
- 100% office-based work utilizing financial software, Excel, and ERP systems
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Salary : $90,000 - $109,000