Conducts financial analysis and develops reports to drive firm profitability. Assists with day-to-day general accounting functions and accounting operations. Suggests improvements in accounting processes. Generates and provides financial reports to Director of FP&A, as requested.
- Performs general ledger maintenance and month-end close duties
- Responsible for reconciling of bank accounts, monitoring cash flow and attending to banking needs
- Conducts profitability analysis and makes recommendations regarding increasing profitability
- Prepares monthly report and analysis of hours worked, fees billed, and fees received
- Assists in coordinating tax planning with the firm’s accountants, maintaining year-end close responsibilities, tax preparation and annual financial reports
- Interface with professional staff of the firm to troubleshoot, analyze, and solve problems and questions
KNOWLEDGE, SKILLS, AND ABILITIES REQUIRED
- Bachelor’s degree with a major in Business, Accounting or Finance
- 3+ years finance/accounting experience, professional services experience preferred
- Knowledge of computerized general ledger, accounts receivable, accounts payable, payroll, trust, and billing processes
- Experience with fully integrated accounting software. Elite Enterprise or Aderant experience preferred
- Proficient in Excel and reporting software with ability to conduct full analysis of computerized reports, and tech savvy.
- Team-oriented self-starter who is able to work with various departments in a fast-paced organization