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The analyst will perform tax and treasury activities to support financial compliance and capital expenditure processes. They will also manage month-end close activities, fleet management, and coordinate external reporting engagements.
Description
General Position Overview
The Analyst role is responsible for performing a variety of tax and treasury related activities that support financial compliance requirements for the company. This role reports to the Senior Manager of Treasury & Tax and will actively engage with Executive Leadership and functional leaders throughout the organization.
This role is an excellent opportunity for a highly motivated analyst who seeks to make a meaningful impact in the core financial areas of tax and treasury for the business while developing experience with more complex and nuanced strategic finance initiatives unique to a private, ESOP manufacturing company.
Essential Job Functions
Demonstrate SoundOff Signal’s Core Values in daily interactions with internal and external customers
Support SoundOff’s Capital Expenditure process from project underwriting to project completion and asset capitalization, partnering with the FP&A team to monitor adherence to CapEx targets
Oversee SoundOff’s fleet management activity by providing fleet change recommendations to the Sales Operations team, supporting repairs & maintenance decisions, ensuring driver policies are adhered to, managing vehicle insurance claims, and other activities as identified
Partner with the Senior Manager of Treasury & Tax to effectively manage SoundOff’s corporate tax activities, including multi-state & international tax filings, R&D tax credit analysis, and other tax items as identified
Coordinate activities around sales and use tax returns, VAT, 1099 preparation, personal & property tax returns and preparing related tax audit documentation as needed
Administer compliance activities related to annual reporting requirements, state nexus management, and resale certificate administration
Build and administer a corporate compliance framework to manage items such as corporate entity statutory filings, business registrations & renewals, and registered agent management
Coordinate external reporting and compliance engagements for outside income tax preparation by maintaining the request calendar, assembling supporting schedules, and coordinating timelines
Assist with various capital planning processes including compiling lender reporting packages and internal working capital reporting
Own month-end close activities for assigned tax and treasury general ledger accounts, including journal entry preparation, account reconciliation, and variance analysis, escalating unresolved items to the Senior Manager of Treasury & Tax and/or Controllership group
Analyzes financial reporting for management as needed
Able to perform job consistently and without excessive absenteeism or tardiness
Other duties as assigned
Job Requirements
Bachelor’s degree in accounting, finance, or a related area of study. Equivalent combination of education and experience may be considered.
2+ years related experience in tax, treasury, corporate accounting, or public accounting
Progress toward CPA, CMA, or an MBA is a plus
Advanced Microsoft Excel experience
Demonstrated knowledge/experience with accounting and GAAP
Demonstrated knowledge/experience with sales and use tax filing preferred
Demonstrated knowledge/experience with fixed asset and fleet management preferred
Proven analytical ability and strong attention to detail
Self-initiator, team player, effective communicator, with a customer focus
Ability to effectively manage recurring deadlines and competing priorities
Proficient in core Microsoft Office software applications
ERP Software experience beneficial
Working Conditions
Mostly office environment, occasional light manufacturing environment
Fast-paced, team-oriented environment
Low noise level in a temperature-controlled setting
Some level of domestic and/or international travel may be required
May work remotely
Mostly normal business hours with occasional need to flex hours
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