Manager of Financial Reporting

Full Time

TRAFFIX

TRAFFIX is a Third-Party Logistics leader with more than 40 years’ experience. We got to where we are by combining our logistics expertise with our ability to attract and retain top talent. From logistics coordinators to warehouse associates and drivers, our team is second to none. If you are driven, ambitious and looking for a high-performance environment where hard work pays off, we want to hear from you. Why work at TRAFFIX? You need to work at TRAFFIX to enjoy our: Culture of Respect, Expertise, Collaboration and Entrepreneurship. Get involved with one of our Steering Committees or sign up for one of our employee events such as Game Night Get involved with your community through our partnership with Big Brothers Big Sisters. Work with a team that Supports and Respects each other at a company where Diversity & Inclusion is a celebrated If you have ideas that you wish someone would listen to – tell us We love the Entrepreneurial spirit, and we strive for Continuous Improvement Choose your own work environment TRAFFIX offers fully remote and work-from-office opportunities. Enjoy professional development opportunities through our Learning Management System and TRAFFIX Academy; or take advantage of our Tuition Reimbursement Program. And of course – get paid fairly for your experience with included Benefits Position Summary The Manager of Financial Reporting will report directly to the VP of Corporate Finance in the Finance Shared Services department at TRAFFIX and will assist with all Corporate Finance and Shared Service operations, working with the VP of Corporate Finance to support the leadership team and business operators. You will help to establish financial accountability, corporate governance, and compliance, as well as devise and implement business and financial strategies that increase company value. Position Responsibilities Lead the preparation of monthly financial statements and monthly close process. Manage annual and periodic audits. Experience in a multiple subsidiary environment and consolidations Handle all aspects of the general ledger. Prepare or direct preparation of financial statements, business activity reports, financial position forecasts, annual budgets, or reports required by regulatory agencies. Research accounting issues for compliance with generally accepted accounting principles and ASPE. Receive, record, and authorize requests for disbursements in accordance with company policies and procedures. Monitor financial activities and details, to ensure that all legal and regulatory requirements are met. Analyze the financial details of past, present, and expected operations to identify development opportunities and areas where improvement is needed. Coordinate audits of company accounts and financial transactions to ensure compliance with state and federal requirements and statutes. Monitor and analyze department work to develop more efficient procedures and use of resources while maintaining a high level of accuracy. Manage journal entries, invoices etc. and reconcile accounts for the monthly and annual closing. Research and draft new policies when needed Train and mentor staff in the Corporate Accounting area and other departments as needed Prepare and enter multi-currency transactions. Assuming any other assigned and related task as directed. Position Requirements University Degree in Accounting/Finance is required. Certified Professional Accountant (CPA) designation is required. Strong proven knowledge of accounting principles, techniques, and full-cycle accounting. Must have a minimum of 5-7 years’ experience in full cycle accounting. Strong verbal and written communication skills. Excellent attention to detail and ability to prioritize. Ability to multitask in a high demand environment. Proficient with MS Office Application (Intermediate Excel). Preference for candidates with Netsuite/Oracle experience. Experience using Blackline (MAP) an asset.

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