48 results for Sr Financial Analyst in Laguna Beach, CA
Senior Financial Analyst<p>We are offering a short term contract employment opportunity for a Senior Financial Analyst in the banking industry, based in Hollywood, California. As an SFA, you will be expected to handle various tasks including managing financial models, analyzing credit, and overseeing cash flow. </p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Manage and optimize ACL and ALM models</p><p>• Oversee liquidity management to ensure financial stability</p><p>• Conduct cash flow forecasting to anticipate financial needs</p><p>• Handle interest rate models to mitigate risk</p><p>• Manage investment models to maximize profitability</p><p>• Analyze credit loss and take necessary preventive measures</p><p>• Perform cash activity monitoring and management</p><p>• Use accounting software systems for efficient financial management</p><p>• Knowledge of global liquidity strategies</p><p>• Oversee banking operation and capital management</p><p>• Handle asset liability management to balance financial risks and returns</p><p>• Perform cash flow analysis for financial planning</p><p>• Manage investment financial modeling to evaluate investment opportunities</p><p>• Conduct interest rate risk management to minimize financial risk.</p>Senior Financial Analyst<p>John Asdell with Robert Half is partnered with a multi-billion-dollar company based in San Diego with national operations. The company is continuing to expand its FP& A function and is hiring a Senior Financial Analyst to support two of the fastest growing business units in the firm. The scope of the duties will be traditional commercial finance tasks and provide a high degree of visibility for this Sr. FPA Analyst. This person will report directly to the Director of Finance and be afforded the <strong>opportunity to be mentored in corporate strategy with an eye toward corporate development. </strong></p><p><br></p><p><strong>The role offers a hybrid work schedule with a very competitive compensation package that includes an above market base salary with an annual bonus.</strong></p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Collaborate with various departments to collect and analyze data and information</p><p>• Develop and maintain accurate financial models at the corporate and project levels</p><p>• Provide analytical support to the C-suite and finance organization, assisting with critical business analyses</p><p>• Present analytical findings and data to various teams in a clear, concise manner</p><p>• Monitor project status, capital spend, cash flows, and other financial metrics on a weekly basis</p><p>• Assist with financial reporting tasks as required by the company</p><p>• Conduct budget to actual variance analyses for project and corporate costs and cash flows</p><p>• Track information for project transactions and associated data rooms</p><p>• Evaluate company performance through detailed analysis and critical thinking</p><p>• Complete ad hoc tasks and analysis as necessary to support the company's objectives.</p><p><br></p>Sr. Financial Analyst<p>Robert Half, Management Resources has a client in Irvine who is seeking a Senior Financial Analyst for a temp-to-hire opportunity. The ideal candidate will have strong experience in budgeting, forecasting, and variance analysis, with advanced Excel skills. This role offers a hybrid work schedule and the opportunity to contribute to a dynamic finance team.</p><p><br></p><p>Key Responsibilities:</p><p><br></p><p>-Prepare budgets three times a year, including the Q1 budget review next month</p><p>-Perform variance analysis and provide insights into financial performance</p><p>-Utilize Excel for budgeting and forecasting purposes while pulling data from the companies accounting ERP</p><p>-The ability to understand and analyze financial statements</p><p>-Collaborate with leadership to ensure accurate financial reporting</p><p><br></p>PMO Sr.Financial Analyst<p>We are offering a contract for a PMO Sr. Financial Analyst position in the automotive industry. This role is based in Torrance, California, United States. In this role, you will be responsible for managing and analyzing financial data for multiple departments and ongoing digital projects.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Analyze and manage financial data for various departments and digital projects</p><p>• Handle the budget management for 15 digital services projects, including OpEx and CapEx during the fiscal year</p><p>• Oversee the Cost Plan for all projects, including labor associates internal contingents, project funded resources, and non-labor outsource software license, travel, and other expenses</p><p>• Support departments with actual vs forecast and variance analysis and take action on variance countermeasure</p><p>• Handle monthly accrual and ongoing cost management</p><p>• Manage invoice processing and ensure compliance with financial regulations and company policies</p><p>• Monitor project budgets and financial performance, identifying areas for improvement</p><p>• Prepare financial reports and presentations for stakeholders</p><p>• Develop strategies to mitigate potential financial issues</p><p>• Collaborate with cross-functional teams including mobile and web development teams to enhance efficiency and effectiveness.</p>Financial Analyst<p>We are currently seeking an experienced <strong>Financial Analyst</strong> to join our client, a reputable and dynamic company in the manufacturing. This is an exciting opportunity for professionals looking to take the next step in their career while contributing to a growing and innovative business.</p><p><br></p><p><strong>Position Overview:</strong></p><p><strong> Our client is looking for a skilled and detail-oriented Financial Analyst</strong> to join their team. In this role, you will support the company’s financial planning and analysis efforts, providing valuable insights to aid in business decision-making and growth. This is a great opportunity for candidates with strong analytical abilities and a passion for financial strategy.</p><p><strong>Key Responsibilities:</strong></p><ul><li>Conduct financial analysis and prepare detailed reports to assist with business decision-making.</li><li>Create and maintain financial models for budgeting, forecasting, and financial planning.</li><li>Assist in the preparation of monthly, quarterly, and annual financial statements and reports.</li><li>Monitor key financial performance indicators and provide recommendations for improvement.</li><li>Work closely with internal teams to provide financial insight and support across the organization.</li><li>Ensure compliance with financial regulations and internal controls.</li><li>Present financial insights to senior leadership in a clear and actionable manner.</li></ul>Financial Analyst<p>We are seeking a Financial Analyst in the Restaurants & Catering industry based in Torrance, California. The role involves providing analytical, forecasting, reporting, and project support to senior management and restaurant operations within the industry. The successful candidate will be responsible for coordinating the preparation and presentation of financial plans, developing financial reporting for varying levels of management, and spearheading the annual and quarterly budgeting and forecasting processes. </p><p><br></p><p>Responsibilities: </p><p>• Troubleshoot and resolve common data accuracy issues with financial reporting and systems</p><p>• Coordinate the preparation and presentation of regional financial plans and interpret trends and financial results of the regions</p><p>• Create and publish Key Performance Indicator (KPI) reports by working closely with Finance, HR, and Information Systems </p><p>• Develop financial reporting for varying levels of management within the region, communicating actionable and impactful insights </p><p>• Prepare board reporting and analysis </p><p>• Use various business models to develop projections for long-term analysis based on market conditions</p><p>• Provide analytical, forecasting, reporting, and project support to senior management and restaurant operations</p><p>• Produce monthly reports, which include key metrics, financial results, and variance reporting</p><p>• Spearhead the annual and quarterly budgeting and forecasting processes.</p><p><br></p><p>**For confidential consideration, please apply directly with your resume or call Allysa Bayly at (310) 719-1400. If you are already working with a recruiter from Robert Half, please contact him or her directly to expedite your candidacy for this role.**</p>Budget Manager<p>**Established Non-Profit seeking a Finance and Budget Manager**</p><p><br></p><p>Please email resume to Eric Herndon for confidential consideration</p><p><br></p><p>We are in search of a proficient Finance & Budget Manager to join our team in Los Angeles, California. In this role, you will be primarily responsible for developing comprehensive budget strategies that align with our objectives and goals. You will also be tasked with maintaining accurate financial records and providing strategic insights to support decision-making processes.</p><p><br></p><p>Responsibilities:</p><p>• Implementing comprehensive budget strategies that align with company objectives</p><p>• Collaborating with various department heads to establish realistic budgets and ensure effective resource allocation</p><p>• Keeping track of expenditures, analyzing variances, and recommending adjustments to management</p><p>• Conducting frequent financial reviews to identify opportunities for cost reduction and operational efficiency </p><p>• Regularly updating stakeholders about budget performance and maintaining accurate financial records</p><p>• Staying abreast with industry trends, regulations, and best practices to ensure effective financial management</p><p>• Leading a team of budget analysts and fostering a culture of continuous improvement</p><p>• Presenting complex financial information to senior management in a clear and concise manner</p><p>• Participating in strategic planning discussions to provide valuable financial insights</p><p>• Evaluating and implementing Operating Cost/Indirect Allocations</p><p>• Supporting the month-end close process</p><p>• Supervising the work of a Senior Financial Analyst and a Senior Accountant for Systems and Process.</p>Financial AnalystWe are offering a long term contract employment opportunity for a Financial Analyst in the Amusement/Recreation Ser/Entertainment industry located in Beverly Hills, California. The successful candidate will be involved in a range of tasks, including interpreting financial documents, extracting financial data, and maintaining client metric files. <br><br>Responsibilities:<br><br>• Interpreting and reviewing financial documents and spreadsheets with a keen eye for detail.<br>• Utilizing your skills in Microsoft Excel and Excel Formulas to update client status metrics.<br>• Ensuring the accurate programming and reviewing of updates in SAP and CAS.<br>• Extracting financial back-up and royalty analysis to provide comprehensive financial reports.<br>• Coordinating with various teams such as Settlement, Client Sales Team, Finance Directors to ensure the receipt and programming of updated contract terms.<br>• Reviewing and following up on the receipt of required documents through checklist processes.<br>• Analyzing and maintaining internal client metric files to ensure end to end completion of related tasks.<br>• Monitoring client accounts and taking appropriate action when necessary.Financial Analyst<p>We are seeking an experienced <strong>Financial Analyst</strong> to join a dynamic and fast-paced Corporate Finance team located in <strong>Pasadena, CA</strong>. This is a <strong>direct hire opportunity</strong> on a hybrid schedule but does require a candidate to work onsite during in-office scheduled days. The ideal candidate will possess a strong accounting and analytical background along with excellent technical accounting expertise. Proficient Excel skills, effective communication (both written and verbal), and an enjoyment of collaborative work environments are key to success in this role.</p><p><br></p><p><strong>Key Responsibilities</strong></p><p>This position focuses on <strong>Financial Planning and Analysis (FP& A)</strong> within the Corporate Finance Department. Primary responsibilities include:</p><ul><li>Updating and maintaining property-level financial projections using Argus software and the company’s corporate REIT earnings projection model.</li><li>Reviewing executed and draft leases to interpret leasing terms accurately for financial modeling.</li><li>Preparing and distributing <strong>strategy call notes</strong> and processing lease assumption changes.</li><li>Performing periodic roll-ups of projection data into the corporate financial projection model.</li><li>Uploading projection data into <strong>JD Edwards</strong> and analyzing fluctuations.</li><li>Conducting financial and significant lease assumption analyses, forecasting financial metrics, and preparing reports.</li><li>Collaborating with cross-departmental teams such as Accounting and Asset Management.</li><li>Assisting with quarterly and annual reporting requirements and preparing financial schedules.</li><li>Completing <strong>property-level analyses</strong> and ad-hoc assignments as needed.</li></ul>Financial AnalystWe are offering a short term contract employment opportunity for a Financial Analyst based in Glendora, California. In this role, you will play a crucial part in handling financial operations such as invoicing, expense reports, credit card management, and financial record keeping and reporting. <br><br>Responsibilities: <br><br>• Accurately generate and process invoices for services rendered to clients, ensuring the details align with contractual terms.<br>• Review and process employee expense reports in line with company policies, verifying receipts and supporting documentation for expense reimbursement.<br>• Proactively communicate with employees to address any discrepancies or missing information in expense reimbursement.<br>• Reconcile corporate credit card transactions on a regular basis, matching statements with receipts, and transaction records.<br>• Diligently investigate and resolve any credit card discrepancies or unauthorized charges.<br>• Maintain organized and updated financial records for auditing and reporting, ensuring compliance with accounting standards and internal financial policies.<br>• Collaborate with internal teams like finance, operations, and management to address financial concerns.<br>• Identify opportunities for process improvement and efficiency in financial workflows, implementing best practices to streamline invoicing, expense reporting, and reconciliation processes.<br>• Prepare monthly financial reports, analyzing data to provide insights into trends, variances, and key performance indicators.<br>• Present monthly reports to management, addressing any related inquiries.Financial AnalystWe are offering an exciting opportunity in Newport Beach, California for a Financial Analyst. This role is within the finance industry, where you will be expected to handle sensitive data with confidentiality, manage payroll processing, and perform bookkeeping duties. <br><br>Responsibilities:<br><br>• Accurately process employee payroll, including calculations for hours, overtime, bonuses, deductions, stipends, reimbursements, and more.<br>• Collaborate with HR and Accounting teams to manage benefits deductions, employee changes, and reporting.<br>• Accurately maintain employee payroll records.<br>• Respond to employee inquiries regarding pay, deductions, and payroll processes in a timely manner.<br>• Handle payroll tax filings, garnishments, and other statutory deductions.<br>• Ensure compliance with federal, state, and local payroll laws and regulations.<br>• Identify and resolve payroll discrepancies or errors on time.<br>• Prepare and process contributions, withdrawals, loans and other transactions relating to retirement plan.<br>• Ensure retirement plan adheres to all relevant regulations and legal requirements.<br>• Assist with audits related to payroll and retirement plan records and processes.<br>• Use accounting software systems to assist with other accounting duties such as bank reconciliations, journal entries, accounts payable, invoicing correspondence, etc. as needed.Accounting Manager<p>We are seeking a detail-oriented Accounting Manager to join our team in the Services industry, located in Los Angeles, California. As an Accounting Manager, you will oversee all accounting operations, perform month-end close processes, and play a key role in our company's forecasting and budgeting processes. You will also be responsible for assisting in the preparation of schedules related to the annual audit process and ensuring compliance with the organization’s Policies & Procedures. (This role is hybrid with 2 days on site per week.) </p><p><br></p><p>Responsibilities:</p><p>• Oversee accounting operations, including Accounts Receivable (AR), Accounts Payable (AP), and General Ledger (GL)</p><p>• Conduct month-end close, quarter-end, and year-end processes</p><p>• Participate in strategic decision-making, metrics development, and performance analytics</p><p>• Contribute significantly to forecasting and budgeting processes, aligning financial planning with business goals</p><p>• Collaborate with cross-functional teams to optimize the usage of Workday Adaptive Planning, our budget and financial planning software tool</p><p>• Assist in the preparation of schedules for annual audit process and tax filing requirements</p><p>• Review and update the organization’s Policies & Procedures, ensuring compliance and providing training</p><p>• Collaborate with Finance Grant Manager to collect required documents for completing audits and program reviews</p><p>• Prepare annual sales and use tax filings, and process annual 1099 filing and reports in a timely manner</p><p>• Carry out other responsibilities as directed by the Controller and the Chief Financial and Operating Officer.</p>Treasury Analyst<p>We are in search of a Treasury Analyst to join our Growing Company in Long Beach, California. The Treasury Analyst will be tasked with managing our corporate treasury activities, such as cash management, creditor relations, and capital planning. This role will also involve liaising with internal teams and global banking partners and working on special projects as assigned.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Manage corporate treasury cash management, ensuring effective execution of all cash transactions between entities, with a focus on accuracy and confidentiality.</p><p>• Oversee creditor relations and capital planning, taking ownership of daily cash flow maintenance, and preparing accurate cash flow forecasts.</p><p>• Act as the primary liaison with our global banking partners, anticipating client needs, and responding to inquiries to ensure client satisfaction.</p><p>• Perform complex problem resolution independently and exercise judgment in escalating material issues.</p><p>• Execute all corporate cash management transactions and calculations, monitor various controls and procedures to maintain the integrity of our financial operations.</p><p>• Propose and implement changes to strengthen internal controls and enhance efficiency within the corporate treasury cash management.</p><p>• Develop and maintain detailed policies and procedures documentation for corporate treasury cash management.</p><p>• Participate in special projects as assigned, identifying priorities and recommending solutions on assigned initiatives.</p><p><br></p><p>Please email your resume . If you're not currently working with anyone at Robert Half, please click call 562-800-3963 and ask for David Bizub. Please reference job order number</p><p>00460-0013146122. or email resume to [email protected]</p>Accounting Manager<p>Robert Half Management Resources is recruiting a Senior Accountant to support our government client on a 3+ month engagement (100% on-site) in Los Angeles. The Sr. Accountant will report directly to the Director of Finance and will primarily be responsible for supporting the accounting activities, including: Financial Reporting, AR, AP, Payroll, Grants Management, and Revenue Collections.</p><p><br></p><p>Responsibilities:</p><p>• Assist month-end close (5 days - soft close) and support the preparation of the monthly financial statements</p><p>• Assist wrapping up 2024 single Audit – respond to inquiries from auditor</p><p>• Support the master fee study and resulting cost allocations</p><p>• Support the implementation of Tyler Munis</p>Finance Manager<p><strong>Position Overview:</strong></p><p>Are you ready to take on a dynamic and impactful leadership role in Financial Planning and Analysis? We are seeking an experienced FP& A Manager with CPG industry experience. The ideal candidate will have exceptional analytical skills, a strategic mindset, and the ability to partner closely with leadership to drive optimization, cost control, and financial success across the organization. This direct hire opportunity is based onsite in Los Angeles, giving you the chance to contribute to critical business decisions while working in a fast-paced and collaborative environment.</p><p><br></p><p><strong>Cost Control & Optimization:</strong></p><ul><li>Monitor and manage operating costs across departments.</li><li>Identify opportunities for cost reduction and operational efficiency.</li><li>Collaborate with leadership to implement cost-saving initiatives.</li></ul><p><strong>Capex Control & Management:</strong></p><ul><li>Oversee and manage capital expenditure (Capex) budgets.</li><li>Evaluate proposed Capex investments to ensure alignment with strategic goals.</li><li>Monitor approved projects and provide post-mortem analysis.</li></ul><p><strong>Procurement Process Improvement:</strong></p><ul><li>Refine procurement approval processes to enhance visibility into financial commitments.</li><li>Drive efficiency and predictability in financial disbursement practices.</li></ul><p><strong>Cash Flow Monitoring:</strong></p><ul><li>Analyze and track cash flow for adequate liquidity and operational efficiency.</li><li>Deliver actionable insights on trends and working capital optimization.</li></ul><p><strong>Budgeting, Forecasting & Variance Analysis:</strong></p><ul><li>Spearhead annual budgeting, quarterly forecasting, and long-term financial planning initiatives.</li><li>Develop financial models and forecasts to guide decision-making.</li><li>Monitor performance against budgets and provide actionable recommendations.</li></ul><p><strong>Financial Reporting:</strong></p><ul><li>Prepare and present financial reports to senior management.</li><li>Highlight key performance indicators (KPIs) and variances while recommending corrective actions.</li></ul><p><strong>Data Analysis & Insights:</strong></p><ul><li>Conduct in-depth financial analysis, including scenario planning, profitability, and cost-benefit evaluation.</li><li>Support strategic decisions with actionable insights.</li></ul><p><strong>Business Partnering:</strong></p><ul><li>Collaborate across departments to understand business drivers and priorities.</li><li>Provide financial guidance on operational and strategic initiatives.</li></ul><p><strong>Strategic Initiatives:</strong></p><ul><li>Support the development of corporate strategy through financial modeling and analysis.</li></ul><p><br></p>VP/Director of Finance<p>We are offering a short term contract employment opportunity for a VP/Director of Finance in the non-profit industry based in Southern California. This role is crucial for overseeing financial reporting and process improvements across 14 charter schools. (This role requires on site a few days per month.)</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Oversee preparation of financial statements for internal leadership and external stakeholders, segmented by each charter school.</p><p>• Provide guidance and supervision over three different financial reporting packages.</p><p>• Work closely with the CFO to identify and implement process improvements and automation opportunities.</p><p>• Actively engage in cross-departmental collaborations to streamline operations across the 14 schools.</p><p>• Contribute to the preparation of manuals for the Accounting and Finance function.</p><p>• Utilize accounting software systems to improve efficiency and accuracy within accounting processes and workflows.</p><p>• Implement effective budget processes and conduct annual budget reviews.</p><p>• Ensure compliance with grant and audit preparation requirements.</p><p>• Manage accounts payable and perform ledger and statement reconciliations.</p><p>• Utilize advanced Excel functions, including pivot tables and v-lookups, to manage financial data.</p><p>• Use Abila MIP for various accounting functions.</p>CFOWe are on the hunt for a Chief Financial Officer (CFO) to be an integral part of our team in the aviation industry. Based in Irvine, California, the CFO will play a key role in strategic planning, managing, and operating finance and accounting activities. This is an offering an exciting opportunity.<br><br>Responsibilities:<br><br>• Undertake the responsibility of managing all finance and accounting activities<br>• Handle business planning, budgeting, and forecasting tasks efficiently<br>• Oversee financial and administrative functions, including finance, accounting, and investments<br>• Conduct internal audits to ensure financial transparency and compliance<br>• Represent the department's interests in financial policy, aviation, and technical matters<br>• Utilize '3M', 'Accounting Software Systems', 'ADP - Financial Services', 'Business systems', 'CRM' for efficient operations<br>• Oversee all accounting functions for financial clarity<br>• Conduct auditing to ensure all financial operations are within the legal framework<br>• Manage budget processes to maintain financial health of the organisation<br>• Handle capital management and cash flow analysis to ensure financial stability.Tax SeniorWe are offering an exciting opportunity in the Non-Profit industry for a Tax Senior at our location in Upland, California. As a Tax Senior, you will be primarily responsible for handling tax-related tasks for both individual and corporate clients. You will be expected to research tax preparation strategies and maintain the highest level of accuracy in your work.<br><br>Responsibilities:<br><br>• Conduct extensive tax research for both individual and corporate clients, such as s/C-corps, sole proprietors, and partnerships<br>• Ensure the accuracy and efficiency of tax preparation processes<br>• Monitor and manage client accounts and take necessary actions when required<br>• Process customer credit applications with precision and speed<br>• Maintain meticulous customer credit records<br>• Handle tax-related tasks for general commercial clients in various sectors including manufacturing, construction, medical groups, and business services<br>• Utilize tax software such as Lacerte, CCH, ProSystems, and QuickBooks<br>• Maintain proficiency in advanced Excel applications<br>• Ensure all tax-related processes adhere to the standards of Public Accounting with a tax focus.Accounting Manager<p>🚨 <strong>Exciting Opportunity in Long Beach!</strong> 🚨</p><p>A <strong>leading company</strong> in the <strong>Manufacturing/Construction</strong> industry is seeking an <strong>Accounting Manager</strong> to join their team <strong>100% in-office</strong>. This role is perfect for someone with expertise in <strong>General Ledger (GL)</strong> and <strong>revenue recognition accounting</strong>.</p><p><strong>Key Responsibilities:</strong></p><p>✔️ Oversee accounts payable and ensure timely, accurate financial processing</p><p>✔️ Manage <strong>General Ledger (GL)</strong> entries and lead the month-end close</p><p>✔️ Handle <strong>revenue recognition accounting</strong> and ensure compliance</p><p>✔️ Use accounting software and Excel for detailed financial analysis and reporting</p><p>✔️ Collaborate with other departments to resolve financial discrepancies</p><p>✔️ Review financial statements for accuracy and compliance</p><p><strong>Ideal Candidate:</strong></p><p>✔️ Strong experience in <strong>Manufacturing</strong> or <strong>Construction</strong> industries</p><p>✔️ Expertise in <strong>GL</strong> and <strong>revenue recognition accounting</strong></p><p>✔️ Proficient with financial systems like <b>excel</b></p><p>✔️ Strong communication and auditing skills</p><p><br></p><p>For confidential consideration, please email your recruiter with Robert Half. If you're not currently working with anyone at Robert Half, please click "Apply" or call 562-800-3963 and ask for David Bizub. Please reference job order number</p><p>00460-0013169541 . email resume to [email protected]</p>Accounting Manager/SupervisorWe are offering an exciting opportunity in the financial industry for an Accounting Manager/Supervisor to join our team based in Cerritos, California. The successful candidate will be tasked with a range of responsibilities, including the management of financial compliance and business operational compliance regulations, and the direction of all people functions within the company. <br><br>Responsibilities: <br>• Oversee the Financial and Controlling aspects of the company to ensure operation within both financial compliance regulations and business operational compliance regulations.<br>• Direct all people functions within the corporation in accordance with company policies and practices.<br>• Ensure compliance with internal and external financial and business operational requirements.<br>• Uphold compliance with US GAAP (Generally Accepted Accounting Principles) for standard accounting procedures and IFRS (International Financial Reporting Standards) for group audit procedures.<br>• Monitor and analyze financial statements and prepare cash flow forecasts.<br>• Handle company’s legal and secretary documents and act as treasurer.<br>• Review workflow in Accounting department and provide instruction.<br>• Control credit, review outstanding balances, and approve payments.<br>• Review general ledgers and troubleshoot any issues.<br>• Supervise the Accounting Department's Receivables and Payables.<br>• Engage with 3rd party consultants and auditors to conduct required audits.<br>• Prepare monthly and quarterly financial reporting, including Profit and Loss reports.<br>• Coordinate with auditors to conduct mandatory audits every six months, following group policy and deadlines based on US GAAP and IFRS.<br>• Coordinate with CPA to prepare federal and state income tax returns.<br>• Manage banking facilities, including the renewal and management of Line of Credit and Letter of Credit if required.Accounting Manager<p>We are in the search for an experienced Accounting Manager to join our team in Century City, California. As an Accounting Manager, you will be tasked with the responsibility to supervise, track and evaluate day-to-day activities. This role is crucial in the management and coordination of accounting functions and the creation of financial statements. The position is Hybrid in Century City--2 days in office, 3 days remote. </p><p><br></p><p>Responsibilities</p><p>• Oversee and manage the general accounting functions.</p><p>• Handle month-end activities and create necessary journal entries</p><p>• Ensure the timely processing of customer credit applications and maintain accurate records</p><p>• Utilize accounting IT system to facilitate processes and maintain records</p><p>• Analyze financial data and create financial reports for decision-making purposes</p><p>• Establish and enforce proper accounting methods, policies, and principles</p><p>• Coordinate and complete annual audits</p><p>• Interact with customers to resolve inquiries and issues</p><p>• Monitor customer accounts and take appropriate action based on account activity</p><p>• Utilize Microsoft Excel and D365 to optimize efficiency and performance</p>Accounting Manager/SupervisorWe are seeking a dedicated Accounting Manager/Supervisor to join our team in California. As an integral part of our team, you will be entrusted with the management of accounting staff, overseeing the monthly close process, fixed asset accounting, account reconciliations, taxes, treasury, credit, and collections. <br><br>Responsibilities:<br>• Oversee the monthly close process and ensure the accuracy of account reconciliations.<br>• Guiding the accounting staff in all areas including fixed asset accounting, taxes, treasury, credit, and collections.<br>• Ensure compliance with GAAP and technical accounting subject matters.<br>• Develop and implement appropriate financial controls to comply with accepted accounting principles and applicable local, state, and federal laws.<br>• Prepare and present Monthly, Quarterly, and Annual Financial Statements.<br>• Manage the preparation of financial statements and close the books for multiple business units, including commercial real estate business.<br>• Oversee the preparation of annual budgets and financial reports to confirm accurate current and projected financial position.<br>• Regularly review accounting entries to ensure accuracy and timeliness.<br>• Maintain strict confidentiality of operational, financial, and business information.<br>• Proactively identify and address potentially adverse finance issues.<br>• Achieve budget objectives by scheduling expenditures, analyzing variances, and initiating corrective actions.<br>• Experience with consolidations, investment accounting, and lease accounting is preferable.Financial Reporting Manager<p>• We are seeking an experienced Reporting Manager with 4+ years of experience in real estate or investment management whose strengths lie in financial analysis and reporting</p><p>• Ability to prioritize and handle multiple tasks with flexibility to adapt and adjust on an ad hoc basis, as needed</p><p>• Excellent organizational and communication skills, both written and oral</p><p>• Team player with a collaborative approach</p><p>• Bachelor’s Degree in Accounting or Finance required</p><p>• CPA required</p><p>• Strong, general, full-cycle accounting experience, preferably in real estate</p><p>• Big 4 and/or with industry experience preferred</p><p>• IFRS experience preferred</p><p><br></p><p>Responsibilities:</p><p>• As a member of the Finance & Accounting team, you will interact with management</p><p>• Duties include, but are not limited to, maintaining and analyzing accounting and reporting records, reviewing quarterly financial reports, preparing interim and year-end audit work papers, submitting lender and tax compliance reports, as well as other financial reports to management and/or owners, under specific deadlines</p><p>• This is a permanent position, hybrid role, daily hours of 9:00 a.m. to 5:00 p.m.</p><p>• Provide regular reporting regarding financial and operating trends and metrics, as well as analyze and benchmark performance of assets, and progress of ad-hoc business and digital transformation projects to the Director of Accounting and Reporting</p><p>• The position is based at the Company’s Costa Mesa offices and reports to the Director of Accounting and Reporting</p>Accounts Payable<p>We are offering a long-term contract employment opportunity for an Accounts Payable role in Irvine, California, 92626, United States. As an Accounts Payable, you will be tasked with the efficient and accurate processing of field invoices for specific projects and divisions on a monthly basis. You will also be required to assist in reviewing check runs weekly to meet set deadlines.</p><p><br></p><p>Responsibilities:</p><p>• Efficiently process monthly field invoices for specific projects and divisions</p><p>• Assist in reviewing weekly check runs to meet set deadlines</p><p>• Utilize Microsoft Excel and Microsoft Office Suites effectively for various tasks</p><p>• Use Oracle and Concur software systems as needed</p><p>• Maintain open lines of communication, demonstrating good communication skills</p><p>• Stay organized and detail-oriented in all tasks</p><p>• Follow instructions as given by the team or management</p><p>• Adapt to any additional responsibilities as needed.</p>VP, Global Finance<p><strong>Position Summary</strong></p><p>John Asdell with Robert Half is partnered with a global manufacturing and distribution company with annual revenues of approximately $500 million worldwide that is seeking an experienced and strategic Vice President of Finance to join its executive leadership team. This role provides comprehensive financial leadership across the company’s international footprint with operations in Asia and the United States. Reporting directly to the CEO and President, the VP of Finance will drive financial strategies, oversee operational efficiency, and ensure the company is well-positioned to achieve its growth objectives.</p><p><br></p><p>Seeking candidates local to Southern California. The role will be base in San Diego County in the US headquarters. Relocation assistance is not available for this position.</p><p><br></p><p><strong>Responsibilities</strong></p><p>Formulate and execute strategic financial initiatives that align with the company’s global vision and long-term objectives.</p><p>Serve as the financial advisor to the CEO, President, and executive leadership team, ensuring data-driven decisions that maximize profitability and mitigate risk.</p><p>Oversee financial planning, forecasting, and budgeting processes, including identifying opportunities to optimize operations and reduce costs.</p><p>Oversee treasury management, including cash flow optimization, liquidity planning, and vendor payment processes.</p><p>Serve as the point of contact for global banking relationships, ensuring favorable terms and optimizing credit, lending, and debt agreements.</p><p>Implement FX hedging strategies and other financial tools to mitigate currency exchange risks across international operations.</p><p>Lead the financial evaluation of M& A opportunities, including valuation modeling, synergies forecasting, and integration planning.</p><p>Conduct thorough due diligence and risk assessment for potential acquisitions or partnerships.</p><p>Support post-merger planning and execution, ensuring financial alignment throughout the integration process.</p><p>Manage financial operations across Asia and the U.S., ensuring compliance with local and international regulations, including tax laws, GAAP, and IFRS.</p><p>Develop standardized processes, tools, and reporting practices to provide consistent, transparent financial data globally.</p><p>Advise on transfer pricing strategies and international tax planning to optimize overall financial performance.</p><p>Collaborate with manufacturing, supply chain, and procurement teams to manage costs, enhance efficiency, and analyze profitability at a product and regional level.</p><p>Lead financial risk management initiatives, including inventory financing, insurance coverage, and debt management.</p><p>Partner with IT and business units to enhance ERP systems and streamline financial operations.</p><p>Ensure the timely preparation of accurate, detailed financial close, statements, and reporting for internal and external stakeholders.</p><p>Direct corporate governance efforts and ensure strict compliance with all regulatory and legal reporting requirements.</p><p>Manage internal and external audits and establish system-wide controls to safeguard company assets.</p><p>Build, inspire, and lead a high-performing finance organization across multiple countries and regions.</p><p>Foster cross-functional collaboration within the finance team and ensure professional development opportunities for team members.</p>