Consolidation & Reporting Resume Samples

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KH
K Hagenes
Kallie
Hagenes
60947 Sawayn Centers
New York
NY
+1 (555) 247 2481
60947 Sawayn Centers
New York
NY
Phone
p +1 (555) 247 2481
Experience Experience
Dallas, TX
Consolidation & Cash Flow Reporting
Dallas, TX
Williamson-Klocko
Dallas, TX
Consolidation & Cash Flow Reporting
  • Conducting analysis and review of existing procedures and practices and make recommendations for improvements
  • Respond to any requests for additional information from senior management
  • Developing and maintaining strong and effective LOB and LEC contact relationships
  • Performing analyses of global Intercompany differences
  • Perform peer analysis of cash flow statements
  • Review and analysis of work papers, ensuring SOX compliance
  • Research/analyze non-recurring events and determine proper disclosure
Philadelphia, PA
Manager, Consolidation Reporting
Philadelphia, PA
McKenzie, Donnelly and Ullrich
Philadelphia, PA
Manager, Consolidation Reporting
  • Assist with establishing financial policies, practices and procedures for the company in accordance with GAAP
  • Prepare and review supporting documentation for consolidation adjustments, including cash flow financial statement adjustments
  • Understand and analyze company financial performance as it relates to internal (management) and external (public) monthly and quarterly reporting
  • Provide reporting guidance to leadership in corporate departments and operating units
  • Participate in special projects as requested by management including financial system integration projects for acquired companies
  • Work with internal and external auditors on document requests
  • Create financial statements and footnote support for inclusion in public and regulatory filings
present
Houston, TX
Reporting & Data Consolidation Specialist With German & English
Houston, TX
Gislason, Armstrong and Morissette
present
Houston, TX
Reporting & Data Consolidation Specialist With German & English
present
  • Team spirit, customer-orientation, analytical thinking and positive attitude at work
  • Analytical thinking
  • Different reports preparation (e.g. cost controlling, KPIs reporting)
  • Participation in controlling activities like budgeting or forecasting
  • Participation in transition of reporting/controlling activities from client location
  • Data extraction from different tools/systems (SAP, Esprit and others) and their consolidation according to our client’s wishes
  • Advanced PowerPoint knowledge
Education Education
Bachelor’s Degree in Higher Education
Bachelor’s Degree in Higher Education
Adelphi University
Bachelor’s Degree in Higher Education
Skills Skills
  • Preparation of note disclosures which form part of the externally published documents (Annual Report, Results Announcement, Interim Management Statements) for the assigned areas , Review and challenge of the data and supplementary analysis submitted by regional finance teams
  • Strong interpersonal skills and excellent communicator
  • Eye for detail and exception track record in managing and resolving conflict situations
  • Willingness and ability to take ownership of issues and manage through to a successful resolution
  • Minimal supervisory oversight and able to perform duties with minimal or no guidance
  • Strong control awareness
  • Good analysis and problem solving skills
  • Strong excel skills
  • Knowledge and understanding of the key accounting principles under IFRS
  • Experience in a month-end or quarter-end focused reporting role
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14 Consolidation & Reporting resume templates

1

Consolidation & Cash Flow Reporting Resume Examples & Samples

  • Preparation of the Firm’s consolidated cash flows statement at quarter-ends
  • Perform peer analysis of cash flow statements
  • Coordination and validation of data collection for statement of cash flows from LOB’s (i.e.: Loans, LTD, VIE’s, etc.)
  • Review of cash flow Line of Business reports
  • Preparation of the MD&A cash flow discussion
  • Maintaining the integrity of Intercompany data and all internally produced and distributed reports
  • Performing analyses of global Intercompany differences
  • Review changes in reporting requirements from FASB and SEC and partner with SEC reporting
  • Research/analyze non-recurring events and determine proper disclosure
  • Review and analysis of work papers, ensuring SOX compliance
  • Developing and maintaining strong and effective LOB and LEC contact relationships
  • Conducting analysis and review of existing procedures and practices and make recommendations for improvements
  • Respond to any requests for additional information from senior management
  • BS in Accounting and CPA required
  • Preferably 2-4 years of experience in understanding financial statements, Big 4 accounting experience preferred
  • Keen analytical skills, and strong project management skills
  • Strong control/documentation background
  • Very strong written and verbal communications skills - significant interaction with multiple members of different teams at all levels
  • Extremely strong organizational skills
  • Excellent computer skills with advanced proficiency in Word and Excel
  • Self confidence, and the ability to work with senior managers throughout the firm
  • Leadership ability and ability to work with minimal direction – self starter
  • Ability to leverage the firm’s accounting policies to resolve reporting issues
  • Knowledge of bank regulatory reporting and risk-based capital concepts, preferred not entirely necessary
  • Aptitude for learning and leveraging systems and data flows
  • Knowledge of Sarbanes Oxley section 404 requirements including workpaper standards, concepts of variance analysis, deficiencies and handshakes
2

Technical Architect Consolidation & Reporting Systems Resume Examples & Samples

  • HFM application change management and governance. Maintenance of application metadata management in conformance with Tyco's Sarbanes Oxley change control process
  • Strong working knowledge of financial statements (e.g., balance sheet, income statement and cash flow components)
  • Experience with managing projects and leading teams
  • Consolidation Experience, Excel financial modeling and data reconciliation skills, external financial reporting knowledge
  • HFM, SmartView, and expert user of Microsoft Office
  • Expertise in FDM
  • 8-10 years' experience consolidation applications, support and maintenance and proven problem solving skills
3

Manager of Consolidation & Reporting Resume Examples & Samples

  • Manage the monthly financial consolidation for worldwide operations, including the load of data into the HFM consolidation system, ensuring completeness of data, review for accuracy and preparation and posting of eliminating entries
  • Prepare and issue monthly, quarterly and annual financial reporting information for management and quarterly external reporting in the Teleflex 10-Qs and 10-K filings
  • Prepare financial statements and supporting analysis for external reporting
  • Manage preparation of quarterly Rule 3-10 disclosure for P&L, balance sheet and cash flow
  • Supervise the preparation of quarterly EBITDA analysis
  • Preparation of Liquidity information for quarterly filings
  • Coordinate with IT regarding new SAP rollouts and integration into HFM
  • 4 year degree in accounting and/or finance
  • Certified Public Accountant (CPA) is required
  • 10 years experience, including 3 to 4 in public accounting and supervisory experience
  • Ability to simultaneously manage multiple tasks and shifting priorities under tight deadlines
  • Strong attention to detail and ability to manage complex tasks
4

Reporting & Consolidation Manager Biller Solutions Resume Examples & Samples

  • The ideal candidate for the position is an accomplished accounting or finance professional with a minimum of 5 years of experience in providing financial, strategic, and operational analysis
  • Knowledge of financial and management reporting and US GAAP requirements
  • Candidates should have a solid financial planning and analysis background. In addition to strong technical skills, candidates must possess outstanding business acumen, the ability to work effectively in a fast-paced environment, and to partner effectively with and influence decision makers
  • Facilitate and coordinate multiple deadlines, and respond quickly to management requests
  • Prior experience working with SAP or other ERP business systems would be highly attractive
  • Expertise with Microsoft Office suite of business software with a strong focus on Excel and PowerPoint is required for the role
5

Manager, Global Consolidation & Reporting Resume Examples & Samples

  • Consolidation & Reporting
  • Bachelor’s degree in Accounting, Finance or equivalent with a minimum of 5 years business experience
  • Two years previous budgeting, planning and variance analysis experience in a pharmaceutical/biopharmaceutical or life sciences environment (commercial or R&D)
  • Demonstrated analytical capability and ability to analyze monthly financial results
  • Communication: ability to communicate ideas and data both verbally and written, in a persuasive, organized and appropriate manner, and preparing presentations for customer groups
  • Accounting: understanding of financial and management accounting principles and practices, solid work experience in this area a plus
  • Familiarity with SAP or similar accounting system, and/or knowledge of financial reporting/planning tools highly desired
  • Management: work with manager to set priorities and meet specific deadlines in a changing environment, ability to be flexible, accommodating, and to deal with change effectively
  • Customer Service Orientation: ability to gain trust of function management and leverage relationships to provide best possible financial plans
  • Teamwork: ability to work effectively in and contribute to a team environment
  • Entrepreneurial: ability and desire to take ownership over activities and projects, desire to shape the organization
  • Strong computer software skills (Microsoft Office Suite: Word, Excel, PowerPoint)
  • Ability to drive to or fly to various meetings/client sites; limited overnight
  • Manual dexterity required to operate office equipment (i.e. computers, phones, etc.)
6

Reporting & Consolidation Analyst Resume Examples & Samples

  • Master’s degree in Accounting, Finance or Business
  • Professional experience: Between 0 and 5 years of experience as accounting officer or in a similar role
  • Strong understanding of accounting and international accounting framework
  • Fluent in English (minimum B2 Level, CECRL certificate)
  • Leadership and communication skills
  • Ability to work under tight deadlines and with international locations
  • Proficient in Microsoft Office Suite (Excel, PowerPoint, Word, Access)
  • Experience using Business Object is a plus
  • Available to a training period abroad (3 months)
7

Reporting & Data Consolidation Specialist With German & English Resume Examples & Samples

  • Participation in transition of reporting/controlling activities from client location
  • Data extraction from different tools/systems (SAP, Esprit and others) and their consolidation according to our client’s wishes
  • Different reports preparation (e.g. cost controlling, KPIs reporting)
  • Results presentation to the customer
  • Participation in controlling activities like budgeting or forecasting
  • High school/university degree ideally in economics or accounting
  • Advanced German and English
  • 2-3 years of experience from similar position (controlling, reporting or accounting)
  • Advanced Excel knowledge (pivot tables and formulas are must)
  • Advanced PowerPoint knowledge
  • Team spirit, customer-orientation, analytical thinking and positive attitude at work
8

System Consultant Handling Financial Reporting & Consolidation Tools Resume Examples & Samples

  • Develop and maintain our financial planning, reporting and consolidation tool SAP BPC
  • Set the future governance, master data structure and design of our financial systems and processes
  • Develop new features and tools together with relevant controllers and other stakeholders
  • Provide support and education to users in other finance functions on a day-to-day basis
  • Participate in relevant networks throughout DONG Energy
  • Take part in the continuous development of our business function to provide the best possible financial information to our management
  • Have a relevant master’s degree in finance, IT or similar
  • Have experience from a position in a large company where you have performed reporting and consolidation or have been involved in system development and maintenance
  • Speak and write Danish and English fluently
  • Have a natural interest and flair for IT and systems
9

Reporting & Consolidation Controller Resume Examples & Samples

  • Competitive compensation packages
  • Direct influence on strategic level decisions
  • Working with partners, shareholders, authorities and other stake holders
  • Developing roles and responsibilities for a key terminal for APM Terminals in the region
  • Responsible for building and maintaining reports from the reporting system
  • Contribute strongly to monthly submissions and annual book close as well as providing information for interim reports
  • Quality assurance of financial reporting received from terminal companies as well as portfolio offices; establish key relationships with portfolio teams
  • Document business processes and procedures to support the above functions and make recommendations for improvement
10

Reporting & Consolidation Coordinator Resume Examples & Samples

  • Support supervision and monitoring of month end close process
  • Support in delegation / prioritization of team workload
  • Act as a Team Leader back up during his/her absence. Perform other duties as requested by Team Leader
  • Ensure quality controls are executed for the agreed scope of reporting
  • Design, implement and maintain high quality, harmonized management reports in line with business requirements
  • Prepare daily, weekly, monthly, quarterly, yearly reports in scope
  • Prepare ad-hoc reports received from FDs/FP&A
  • Analyze the output of reports
  • Participate, initiate and lead process improvements
  • Develop an understanding of the underlying business in order to challenge, validate and explain the numbers
  • Prepare applications procedures and process documents
11

Financial Reporting & Consolidation Manager Resume Examples & Samples

  • Plan and coordinate global monthly, quarterly and annual close process
  • Manage world-wide financial close calendar
  • Manage the consolidation process including the recording of consolidating entries, reconciliation of intercompany and investment in subsidiary transactions
  • Review closing journal entries and accruals
  • Establish processes to standardize financial reporting requirements from US and International teams
  • Manage and standardize the global balance sheet review process with US and International teams
  • Responsible for validating system interfaces and troubleshooting general ledger issues
  • Manage system change requests process through clear communication and work with IT resources to facilitate resolutions on close and reporting related issues
  • Preparing the External Reporting Package and SEC compliant financial statements
  • Strengthen and improve internal controls, including potential implementation of controls programs compliant with Sarbanes-Oxley requirements
  • Anticipate executive management reporting needs, and deliver timely, accurate and insightful management reporting/analysis
  • Key member of the integration process related to acquisitions
  • Identify and implement process improvements as part of continuous improvement initiatives
  • Assist with quarterly reviews and annual audits conducted by external auditors
  • Undertake and manage special projects and other reporting needs as required
12

Internal Reporting & Consolidation Manager Resume Examples & Samples

  • Overall responsibility for accounting financial statement information provided to NML on a US GAAP and GRAPH basis
  • Liaison with NML on accounting topics, including special requests Provides regional functional support and coordination for global systems
  • Maintains regional master data for NARDW; coordinates and manages the operational processes in NARDW
  • Ensures maintenance of outbound & global interfaces as it impacts NARDW
  • Acts as a liaison between the NA subsidiaries, the NARDW and global systems by ensuring consistent and timely communications; coordinates training support for the global and regional programs, systems, and policies that impact NA subsidiaries
  • Responsible for the coordination, implementation, and maintenance of A&R projects: Code Block, GRAPH/IAS, NARDW, GDW, HFM
  • Responsible for the issuance of supporting documentation of Footnote disclosures for our external Financial Statements
  • Participates in review process of external F/S
  • Involved in Statutory Financial statement review and data clarification
  • Implement synergies between Internal FS Submissions and Statutory Financial Statement process
  • Responsible for the balancing of the Intercompany transactions between issuing companies and all other affiliates
  • Supervise & provide leadership, coaching, guidance, training & staff development; interview & select employees; plan & evaluate performance; recommend merit increases, transfers & promotions; counsel & discipline employees; recommend termination when appropriate; and monitor time & attendance
13

Manager, Consolidation & Internal Reporting Resume Examples & Samples

  • 6+ years of work experience in accounting function; prior management experience a plus
  • Working knowledge of HFM, PMR and SAP
  • Proven management skills – ability to plan, coordinate, oversee and problem-solve three to four direct reports to complete the monthly close and prepare comprehensive management report and meet critical deadlines
  • Strong interpersonal skills/ability to work with others
  • Attention to detail; excellent problem solving and analytical skills
  • Undergraduate degree in accounting preferred; CPA, with Big 4 Public Accounting experience not required, but a plus
14

Consolidation & Reporting Resume Examples & Samples

  • Preparation of note disclosures which form part of the externally published documents (Annual Report, Results Announcement, Interim Management Statements) for the assigned areas , Review and challenge of the data and supplementary analysis submitted by regional finance teams
  • Support for new IFRS and PRA reporting requirements, providing subject matter expertise to project teams or leading small change projects eg Structural Reform
  • Ensure that the integrity of the financial data remains within the highest standard, by ensuring that adequate financial and process controls are in place
  • Supporting the Liquidity reporting for the Investment Bank
  • Co-ordinating the weekly leverage forecast
  • Leading the balance sheet analytics for BI
  • Supporting other internal initiatives to report to the business to aid their decision making
  • Liaison with auditors to support the external reporting process
  • Qualified Accountant – ACA, CIMA, ACCA
  • Strong academic background – 1st /2nd class honours, minimum bachelor degree from a reputable institution
  • Post qualification experience
  • Experience in a month-end or quarter-end focused reporting role
  • Knowledge and understanding of the key accounting principles under IFRS
  • Strong excel skills
  • Good analysis and problem solving skills
  • Strong control awareness
  • Good stakeholder engagement skills and understanding & executing their requirements / expectations
  • Enthusiastic, motivated, self-starter, pro active and a team player
  • Strong interpersonal skills and excellent communicator
  • Willingness and ability to take ownership of issues and manage through to a successful resolution
  • Eye for detail and exception track record in managing and resolving conflict situations
  • Required to provide detailed analysis and information on complex queries/problems and communicate to stakeholders on proposed solutions and recommendations
  • Minimal supervisory oversight and able to perform duties with minimal or no guidance
  • Assertiveness, tenacious and control focused
15

Head of Corporate Financial Reporting & Consolidation Resume Examples & Samples

  • Overseeing the preparation, review and filing of the Company's external financial reporting documents (including Forms 10-K and 10-Q, quarterly earnings press releases and investor financial supplements), managing the associated deadlines and ensuring compliance with U.S. GAAP and SEC rules and regulations
  • Drafting and ensuring the completeness and accuracy of the results of operations narratives included in the MD&A sections of Forms 10-K and 10-Q, as well as all note disclosures and review of numerous other 10-K/10-Q components
  • Working closely with Investor Relations to provide value-added analytical support during the quarterly earnings review process and preparation for investor conference calls
  • Assisting with the preparation and review of other internal and external reporting documents, including Audit Committee and rating agency presentations
  • Monitoring and assessing changes in SEC rules and regulations, including trends in comment letters, and making associated recommendations for changes in Company policies, procedures and/or disclosures
  • Conducting U.S. GAAP and IFRS research as required, and assisting with the implementation, documentation and drafting of disclosures related to the proposal and/or adoption of new accounting standards
  • Making periodic internal presentations regarding the latest accounting and internal control developments
  • Providing on-going analysis and maintenance of the Company's processes and procedures aimed at ensuring compliance with the requirements of the Sarbanes-Oxley Act
  • Public/Private background and insurance industry experience
  • In-depth current knowledge of U.S. GAAP and SEC reporting requirements, including XBRL compliance, is preferred
  • Detailed knowledge of, and exposure to, the compliance requirements of the Sarbanes-Oxley Act
  • Experience with general ledger and external reporting systems and Microsoft Office tools, including significant experience in the use of Excel and PowerPoint
  • Exposure to Webfilings, Hyperion and the Oracle accounting systems is preferred
  • Strategic Thinker: Visualize what doesn't exist and know how to get there. Can invent, design and build
  • Leader: Demonstrates managerial courage. Coaches, trains, sets expectations, evaluates and holds people accountable for delivering. Proven track record of team development and leadership for both direct and indirect resources
  • Influencer: Ability to leverage your subject matter expertise to influence and persuade others. This may take the form of gaining support, inspiring others, persuading others to become your champions, or engaging someone's imagination
  • Mental Agility: Innovative thinker, willing to turn ideas on their head. Bright and can handle highly complex situations. Can manage multiple priorities
  • Strong Communication: Excellent verbal and written communication, collaboration and presentation skills
16

Financial Reporting & Consolidation Resume Examples & Samples

  • Overall supervision of two Accounting Managers – 1) Manager – Consolidation/IFRS Reporting 2) Manager US GAAP Reporting
  • Supervision of Manager – Consolidation will include
  • 6-8 years of related experience
  • Knowledge of Generally Accepted Accounting Principles (GAAP) and International Financial Reporting Standards (IFRS)
  • Knowledge of Renewable Energy Industry (e.g. tax partnership reporting)
  • Proficiency in SAP, Hyperion and MS Excel
  • Excel skills are required to be excellent, testing may be asked of applicant
  • Communicates effectively with other groups / departments, displays interpersonal and organizational skills. Leadership skills required, mentor staff
  • Team player – not an individual contributor
  • Great coaching
  • Hands on abilities
  • Mental Functions: Comparing, copying, calculating, compiling, analyzing, coordinating, communicating, instructing, and interpersonal skills
17

Senior Consolidation & Reporting Analyst Resume Examples & Samples

  • Good consolidation skills: principles, rules and processes
  • Accounting skills – Strong interest in technical accounting and norms
  • Analytical problem solver
  • Bachelors or higher education required. Degree in Accounting Preferred
  • CPA and experience within a consolidation department or as an auditor of international groups preferred
  • Experience withHyperion Financial Managementpreferred
  • Results-driven, ability to work independently and collaboratively with equal success and track record of outstanding individual and team performance
  • Elite communication and interpersonal skills
  • Ambitious, aggressive, self motivated, growth orientated mindset
  • Additional language proficiency skills outside English are a plus but not required
  • FB
  • LI-SD
18

Finance Manager, Consolidation & Reporting Resume Examples & Samples

  • Work closely with various China corporate functions on strategic planning, annual operating planning, quarterly forecasts and actual quarter-end close. Provide cause of change analysis, play an active role in the financial review, and prepare presentations to senior management explaining variances and key drivers. Be pro-active to discuss variances with different stakeholders to form action plans for improvements
  • Partner on the consolidation and analysis of TWDC Greater China’s long range plan, annual operating plan, quarterly forecasts and preparation of quarterly business reviews with US management
  • Drive continuous process improvement and implement new initiatives. Seek opportunities for automation wherever possible
  • Work with APAC Shared Services (ASC) and TWDC China local accounting function, Corporate Controllership for quarter-end & year-end close. Ensure compliance and proper accounting treatment applied
  • Support internal and external audits as needed
  • Minimum eight years working experience in Finance & Accounting
  • Solid foundation in financial analysis activities and processes
  • Strong quantitative analytical skills combined with solid business and financial acumen
  • Experience in managing people
  • Demonstrate track record of process improvements and implementation of best practices
  • Previous experience with U.S. multi-national company is an advantage
  • High proficiency in excel and SAP, familiarity with Cognos/TM1 is a plus
19

General Accounting Consolidation & Reporting Expert Resume Examples & Samples

  • Prepare monthly consolidation and related financial statement reports (such as: balance sheet, income statement, cash flow, equity movements, etc.)
  • Prepare monthly journal entries, intercompany and investments eliminations and late adjustments for the consolidation process
  • Prepare monthly cash, debt and intercompany reconciliation
  • Complete monthly, quarterly and annual financial reporting and consolidation in Hyperion
  • Responsible for HFM consolidation content
  • Implement, test and review changes within HFM (meta-data, reports, templates, mapping) where necessary
  • Coordination of the change request process
  • Support General Accounting team in reporting
  • Be in charge for re-reporting process, mapping tables and projects related to consolidation
  • Identified the gap analysis and initiate process improvement including harmonization across the countries in GBS scope
  • Provide the training for reporting team members
  • Provide financial business support to the Company’s subsidiaries in order to streamline and standardize financial reporting and analytics across entities
  • Instruct BUs/OpCos on what information should be provided
  • Work directly with global finance teams to ensure compliance with financial regulations and reporting
  • Maintain consistent communication and improve upon established reporting processes
  • Liaise with other HQ Finance functions (Management reporting, Treasury, Tax, Investor relations etc.) to align Group closing and reporting activities
  • Interact and manage relationships with various levels of management within the BUs in order to accurately prepare all necessary supporting documentation
  • Ensure that the BUs are accounting for transactions appropriately under IFRS and Group accounting policies
20

Manager, Consolidation & Reporting Resume Examples & Samples

  • Support the monthly close and consolidation process
  • Manage the general accounting area for the company
  • Design & preparation of internal and external financial reports including consolidated cash flow statements
  • Support international accounting operations
  • Administration of general ledger system including; account maintenance and automated report development
  • Development of accounting policies and procedures
  • Technical accounting research
21

Analyst, BI Cost Reporting & Consolidation Resume Examples & Samples

  • The team are responsible for all cost MI which feeds into Group Reporting, BI Senior Management Reviews, BI Cost Review Decks and Investor Relations Quarterly Review
  • This role is predominantly involved in ensuring the integrity and accuracy of the BI cost reporting, including ability to run the key cost numbers from various tools/sources used across Barclays Group
  • Play a critical role in ensuring the BI cost numbers submitted into the Group monthly process are accurate
  • Report on the cost base across multiple lenses including cluster split, in business vs functional costs, SRP, account line, 3 way cost split (compensation non performance/compensation performance/non compensation)
  • Review any discrepancies vs. monthly outlook and follow up with relevant cluster cost contacts on variances that require investigation and commentaries
  • Reconciliation of the month end cost ledger with Group published numbers, including the correction of data breaks
  • Production of monthly account line reporting, including review and analysis of the key variances
  • Liaise with our resource in India on any changes to the IB BAU cost reports we require for month end
  • Support and coverage for the rest of the teams key activities including Outlook Process, Weekly Cost Reviews, Weekly WFR Crib preparation
  • Knowledge of financial systems ie SAP, Optimus
  • Good interpersonal, written and oral communication skills
  • Team player to work effectively with Central Cost Reporting colleagues, BPA and Group Finance
  • Excellent Powerpoint and Excel skills
22

Group Consolidation & Reporting Analyst Resume Examples & Samples

  • Creates, controls and diffuses monthly/quarterly/annual reporting
  • Reviews the reporting packages provided by CWT’s local entities, provides assistance and support to the subsidiaries. Contact point with one region to be determined
  • Actively participates in the quarterly and annual closing process up to the preparation of the consolidated financial statements (analysis of P&L and balance-sheet accounts…)
  • Actively participates in projects related to financial tools evolutions and reporting processes
  • Take part in HFM training of users, in coordination with HFM team
  • Actively interacts within Finance and other teams of CWT
  • Provides support and analyses for ad-hoc requests and for special projects (acquisitions, divestitures, refinancing etc.)
  • Bachelor’s degree in Accounting Degree
  • Experience with Word, Excel, PowerPoint and Hyperion Financial Management tools
  • Other languages a plus; particularly French and Spanish
  • Abilities to work within a multicultural environment
23

Reporting & Planning Consolidation Manager Resume Examples & Samples

  • Coordinating financial planning within UB Finance recognising key dependencies across teams
  • Creating a project plan of deliverables and proactively monitor progress versus milestones
  • Reviewing divisional financial plans to ensure suitable challenge of any apparent inconsistencies
  • Working with teams to ensure their outputs are fit for purpose, in terms of accuracy, timeliness and insight
  • Ensure key deliverables for internal and external stakeholders are met in an efficient and timely manner
  • Managing the consolidation of divisional results for inclusion in detailed briefing packs for submission to UB Exco, Board and RBS Finance
  • Managing the submission of financial planning data as required as part of regulatory reviews, such as business model assessment
  • Acting as a key contact for RBS Finance to ensure the Ulster Bank financial plan is accurately reflected in the Hyperion planning system
  • Providing additional supporting analysis as required to ensure the financial plans of Ulster Bank are accurately reflected in the RBS Executive reports
  • Experience of working to tight deadlines and managing key finance deliverables
  • Working to tight deadlines and managing key finance deliverables and building strong business relationships in a changing environment
  • Strong communication skills, with the ability to clearly and succinctly articulate issues to senior management
  • Good problem-solving skills, with proven ability to apply finance knowledge and experience to a diverse range of financial issues
  • Excellent numerical and analytical skills with practical experience of preparing financial plans and analysis (and commercial and practical knowledge of the Ulster Bank business)
  • Experience in design and development of financial planning models
  • An ability to provide peer support and coaching as required, and manage and coach a small team of 2-3 professional accountants
24

Manager, Consolidation Reporting Resume Examples & Samples

  • Understand and analyze company financial performance as it relates to internal (management) and external (public) monthly and quarterly reporting
  • Ensure timely and accurate data flows from subsystems and processes, identifying data validations issues and resolution
  • Agree financial data to supporting documentation
  • Prepare and review supporting documentation for consolidation adjustments, including cash flow financial statement adjustments
  • Create financial statements and footnote support for inclusion in public and regulatory filings
  • Review statutory financial data filing reconciling items for appropriateness
  • Supervise daily activity of staff including reviewing journal entries, monthly account reconciliations, footnote preparation, government reporting
  • Train company personnel on consolidation requirements, reporting and system functionality
  • Provide reporting guidance to leadership in corporate departments and operating units
  • Supply financial reports to other corporate departments or operating units as needed
  • Assist with establishing financial policies, practices and procedures for the company in accordance with GAAP
  • Work to ensure adherence to appropriate business controls to engender proper application of Sarbanes-Oxley procedures
  • Work with internal and external auditors on document requests
  • Participate in special projects as requested by management including financial system integration projects for acquired companies
  • Bachelor’s Degree in Accounting, CPA strongly preferred
  • A minimum of 10 years accounting experience and familiarity with areas of intercompany transactions, account reconciliations, multi-currency consolidations, financial reporting, SEC reporting
  • Experience working in a consumer packaged goods (CPG), fast-moving consumer goods (FMCG) and/or consumer durables industry strongly preferred
  • Solid understanding of general ledger systems and foreign currency translation
  • Prior supervisory experience in financial reporting and general ledger areas
  • Strong decision making and problem solving skills with an ability to prioritize
  • A strong background in leading roles developing internal and external working relationships as well as audit firm communications
  • Proficient in Microsoft Office, Excel required
  • Prior experience with Hyperion Financial Management, including FDM, Smartview and AdHoc reporting tools, SAP, Blackline preferred
  • Highly motivated, self-starter with a commitment to quality and integrity
  • Ability to multi-task, work under pressure and meet deadlines required
  • Evaluate, develop and improve or establish financial policies and procedures
  • Ability to effectively direct, supervise, train, mentor and motivate staff
  • Ability to ensure work is properly allocated to ensure accurate completion in a timely manner
  • Maintain organized and detailed files documenting accounting issues, processes, and procedures
  • Collaborate with other finance department staff and other departments to support overall finance department goals, initiatives and directives
  • Update job knowledge by participating in educational opportunities
25

AVP, BI Cost Reporting & Consolidation Resume Examples & Samples

  • The role is to work in the BI Cost Reporting and Consolidation Team to contribute to the overall deliverables of the team and report on the c£9bn cost base of BI
  • This role is predominantly involved in driving and running the IB cost reporting and consolidation process as well as ensuring the integrity and accuracy of overall BI cost reporting, including ability to run key cost numbers from various tools/sources used across Barclays Group
  • Coordination, preparation and analysis of regular and ad-hoc financial performance reporting MI on the c.£9bn cost base across Barclays International, which is provided to senior management across both Barclays International and Barclays Group
  • Be seen as the SME on the cost base, understanding the key drivers
  • Ability to input, extract and consolidate the BI cost data, both from an actual and outlook perspective
  • Play a critical role in ensuring the BI cost numbers submitted into the Group monthly process are accurate and that all financial reporting requirements and timelines are met
  • Run an efficient outlook process to ensure the cost outlooks are reviewed with relevant stakeholders and management prior to group submission
  • Ensure the cost base can be reviewed across multiple lenses including cluster split, in business vs functional costs, SRP, account line, 3 way cost split (compensation non performance/compensation performance/non compensation)
  • Provide timely, accurate and complete management information that enables cost decisions to be made and implemented quickly
  • Ability to adapt to the evolving requirements of Regulatory framework. eg. Structural Reform and HoldCo reporting
  • Work collaboratively with the BPA teams and Global Cost Finance leads across BI Business and Infrastructure Functions to understand the cost drivers of their respective area, and track how reporting against targets and delivering on cost initiatives
  • 5+ years experience in financial services in Finance department
  • Problem solving, analytical skills and financial modelling capability and detail orientated
  • Delivery orientated with excellent attention to detail with a focus on accuracy of information
  • Team player to work effectively and communicate with various stakeholder of all levels of seniority
  • Consolidation and legal entity knowledge
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Consolidation Specialist Financial Reporting Resume Examples & Samples

  • Responsible for consolidating the financial results of MBUSA and subsidiaries and assisting in the preparation and the analytical review of MBUSA’s internal and external financial statements. Assist with the monthly DAG MIF submission. Provide required schedules to the KPMG auditors
  • Prepare monthly analysis and analytical review of financial statements of MVSA Co and Classic Car, including the submission of all Florida Department of Insurance statutory reports required to maintain selling license (related to Starmark Pre-Owned Warranty program); account analysis to be completed by the assigned deadlines
  • Responsible for the MIF submission of 1st expectation, 2nd expectation and operating plans of company and business unit data
  • Coordinate with the Legal Department in ensuring Serengeti is updated, properly maintained and reconciled with the general ledger. Ensure legal reserve spreadsheet is updated with information regarding settlements and/or dismissals using information downloaded from Legal e-council database. Perform a reconciliation between E-counsel and the accounting detail. Analyze and adjust % used (paid settlements vs. original legal reserve) to adjust legal reserve on a quarterly basis
  • Prepare, update and test Financial Reporting’s ICS Documentation. Ensure all documentation designs and effectiveness testing requirements are meet by the assigned deadlines
  • Responsible for changes to the Chart of Accounts Master Data in SAP and ensure changes are properly reflected in MBUSA's Grouping Schedules. Assist in testing when central transports are applied to the SAP system to ensure that Financial Reporting's needs are met
  • Implementation of new Accounting and Reporting standards including fact sheets and restatement of Financial statements
  • Preparation and submission of numerous monthly, quarterly, and annual various Governmental Reports