What are the responsibilities and job description for the Corporate Accounting Manager position at United Flow Technologies (UFT)?
United Flow Technologies is a platform established in July 2021 to invest in the municipal and industrial water and wastewater market. UFT has partnered with market leading businesses to create a national provider of process, pump, automation & control, and other equipment solutions. And we’re just getting started making strategic partnerships to provide clean water across the country!
We are hiring a Corporate Accounting Manager to work on-site in our Irving, TX office. You will be responsible for performing, directing, and monitoring the accounting and financial reporting function of United Flow Technologies, including the consolidations of all business units.
What you will do:
We are hiring a Corporate Accounting Manager to work on-site in our Irving, TX office. You will be responsible for performing, directing, and monitoring the accounting and financial reporting function of United Flow Technologies, including the consolidations of all business units.
What you will do:
- Lead the month end close and consolidations process. Monitor and lead the maintenance of GAAP accounting and company policy, procedures, and integration for all companies within the region. Includes purchase price accounting for acquisitions, ASC 842, ASC 606, etc
- Responsible for all accounting & accounts payable activities of the UFT Company entity
- Supervise UFT Accountant for all accounting activities of the UFT Company entity
- Lead the annual financial audit process
- Partner with Deloitte tax to complete annual tax returns.
- Provide timely and accurate financial reporting for UFT management, banking partners, and HIG in understanding the business’ performance
- Partner with FPA team to utilize and optimize Vena, UFT’s Consolidations Software for month end reporting
- Partner with UFT team management on key decisions and workflows associated with the IT infrastructure, including but not limited to ERP, Hardware and Data Management
- Be the financial business partner to IT team, including providing consolidated financial reporting and analysis for act/bud/forecast spend; Including the implementation and use of Power BI and expanded uses of Vena for enhanced analytics
- Perform other related duties, as assigned
- May require travel 1-2 times per quarter.
- 7-10 years of accounting and financial reporting experience
- Bachelor’s Degree in Accounting, Finance and/or related field
- CPA preferred
- Excellent abilities in management and GAAP accounting and reporting
- Good understanding of various ERPs & software. Ability to lead and learn quickly
- Understand and have the ability to implement financial controls
- Good understanding of MS Office٫ especially Excel
- High level of organizational skills
- High level of confidentiality
- Attention to detail
- Outstanding communicator and organizational skills
- Strong analytical and quantitative skills٫ with accuracy and attention to detail