Stephen Leavitt - Sr. Financial Analyst Resume Simple
A highly motivated, results-oriented, and detail-oriented accounting professional with a verifiable record of accomplishment spanning over 15 years of experience in the areas of finance, accounting, and financial management.
filings, cash flow, testing, analysis, reporting, planning, implementation, accounting, cash, research, and accounting, process improvement
Assists in the implementation of the company's financial policies and procedures, including the preparation of the annual budget, planning and forecasting, cash flow analysis, reporting, and research and audit of all sales and use taxes
Responsible for the management of the accounting and audit process for the company including revenue recognition, royalty payments, and royalty filings.
Participate in process improvement testing and development of new processes. Develop and maintain system and procedures. Work with other departments to resolve problems.
Develop and maintain a strong working relationship with the business partners and the business unit. Work with the team to ensure that all processes are in place and functioning as intended.
Work with internal and external auditors to ensure that all requests are in accordance with the company's policies and procedures and accounting standards.
Provided support to the business unit managers and other departments. Worked with the team to ensure that all deadlines were met.
Develop and maintain financial models for annual budget, quarterly forecasts, and monthly financial planning and reporting reports. Analyze and interpret variances to plan and prior year.
Assist in the development of annual budgets and monthly forecast. Prepare and analyze monthly financial results. Develop and maintain a detailed financial model.
Analyze and interpret financial data to forecast future revenue and expenses. Provide recommendations to improve business performance. Develop and maintain a strong working relationship with the sales team.
Analyze and interpret financial data to forecast future revenue and expenses for the company. Develop and maintain a detailed model to track the performance of the business.
Prepare and analyze monthly financial reports for senior management. Monitor and report on key performance indicators. Develop and maintain a detailed forecast for the company.
Review and approve journal entries for month end close. Assist with monthly and year-end closing. Provide support for the budget process.