Jr. Financial Analyst<p>We are looking for a Jr. Financial Analyst. As a Jr. Financial Analyst, you will be expected to perform intricate financial assessments to guide business decisions, collaborate with different teams to collect and scrutinize data, and support the finance team with various projects. </p><p><br></p><p>Responsibilities: </p><p><br></p><p>• Facilitate data-driven insights to enhance profitability and efficiency through the development of financial models.</p><p>• Assist in the preparation and analysis of financial reports on a monthly, quarterly, and annual basis.</p><p>• Conduct comprehensive financial analyses to aid in business decision-making processes.</p><p>• Work collaboratively with different teams to gather and assess data.</p><p>• Provide support to the finance team with varying analysis, presentations, and special projects when necessary.</p><p>• Keep track of customer accounts and take appropriate actions.</p><p>• Ensure accurate and efficient processing of customer credit applications.</p><p>• Maintain precise records of customer credit.</p>Sr. Financial AnalystWe are seeking a dedicated Sr. Financial Analyst to join our team, located in Malvern, Pennsylvania. This role operates within the financial sector and will cover responsibilities such as managing business systems, working with CRM, and utilizing data mining techniques. <br><br>Responsibilities:<br><br>• Oversee and manage business systems to ensure smooth operations.<br>• Utilize CRM to maintain and develop customer relationships and satisfaction.<br>• Employ Crystal Reports for generating informative and detailed reports.<br>• Apply data mining techniques for extracting meaningful information to aid in strategic decisions.<br>• Manage accounting functions to ensure accurate financial records.<br>• Conduct auditing to ensure compliance with financial regulations and standards.<br>• Oversee budget processes, ensuring they are efficient and adhere to financial guidelines.<br>• Handle capital management to ensure the organization's financial stability.<br>• Utilize the 'About Time' system for efficient time management.Junior Inventory AnalystWe are offering a contract to permanent employment opportunity for an Entry Level Inventory Analyst in the steel manufacturing industry, based in Youngstown, Ohio. If you're skilled in managing inventory and reporting, this role might be a great fit for you. <br><br>Responsibilities:<br><br>• Handling the accurate reporting of all inventories in support of the Senior Inventory Analyst <br>• Collaborating with operations to address issues related to inventory and ensuring the integrity of data within various reporting systems <br>• Regularly reviewing inventory balances and resolving arising issues in coordination with operations and IT <br>• Maintaining a record of storeroom inventory cycle counts and providing documentation for prior business day shipments<br>• Working with the team to identify and resolve duplication in the creation of freight payables Purchase Orders (PO) <br>• Assisting with invoices related to UNIT Trains and Non-PO freight queries<br>• Ensuring the accuracy of inventory quantities and values in compliance with Group policies<br>• Coordinating month-end activities to ensure all shipments are invoiced and production is balanced<br>• Preparing journal entries for month-end review by the Senior Analyst, including areas such as Inventory, freight expense, customer claim accruals, etc.<br>• Assisting in the design, implementation, and improvement of reporting tools for inventory data users<br>• Supporting the Senior Inventory Analyst with Audit requests related to inventory<br>• Improving operational efficiency by evaluating and refining processes<br>• Performing ad-hoc duties as assigned.Compliance Testing Analyst<p>We have a fantastic job opportunity with a large organization in Pittsburgh that is seeking entry-level Analysts to be part of an Internal Audit and Controls Testing department. If you have at least 1 year of operations experience working in the financial services industry and are you looking to find a position within an organization that offers career advancement opportunities, this job might be for you! </p><p><br></p><p><strong>Job Summary: </strong>This position is responsible for identifying, reporting, addressing, and monitoring daily risks as part of the organization’s broader risk management strategy. Compliance with regulatory standards and internal policies is essential!</p><p><br></p><p><strong>Key Tasks & Responsibilities:</strong></p><ul><li>Perform control testing activities in adherence to established departmental guidelines and procedures.</li><li>Ensure timely completion of assigned tests and meet designated milestones.</li><li>Identify and escalate issues that deviate from standard testing frameworks.</li><li>Accurately document testing outcomes and share findings with relevant stakeholders.</li><li>Coordinate and manage the monthly workflow and pipeline of control testing tasks.</li><li>Take on additional assignments and special projects as required.</li></ul><p><strong>Education and Experience Requirements:</strong></p><ul><li>Bachelor’s degree (BA or BS) required.</li><li>Minimum of one year of relevant professional experience, preferably in a corporate banking role</li></ul><p><strong>Location & Schedule:</strong></p><ul><li>This position is onsite at the bank's headquarters in downtown Pittsburgh. </li><li>Transportation and parking expenses are not included and will be the responsibility of the individual selected for this role. </li><li>Hours are traditional business hours, Monday thru Friday 8am to 5pm; start and end time is flexible up to one hour so you may also work 7am-4pm, 7:30am-4:30pm, 8:30am-5:30pm, or 9am-6pm. </li></ul><p><strong>Application Process:</strong> If you are interested in being considered for this position, please apply on the Robert Half website. </p><p><br></p><p>Thank you! </p>Director of Accounting<p>We are in the search for a Director of Accounting to join our team based in Pittsburgh, Pennsylvania. Solid base salary/bonus and benefits. Free parking. </p><p><br></p><p>The individual will be tasked with overseeing all financial and accounting activities within our organization. This role is vital to maintaining our financial systems and preparing regular reports, thereby ensuring smooth operations.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Oversee and manage all aspects of financial and accounting activities within the organization.</p><p>• Supervise the ongoing Accounting functions to ensure accurate and efficient operations.</p><p>• Prepare and review financial and operational reconciliations, ensuring all reports are accurate and timely.</p><p>• Develop and maintain formal accounting systems, ensuring all financial data is well-organized and accessible.</p><p>• Supervise the organization of accounting files, ensuring all financial documents are accurately filed and readily available when needed.</p><p>• Oversee the preparation of regular reports and reconciliations, including event settlement to ensure all financial transactions are accounted for.</p><p>• Prepare budget-related materials, providing detailed financial forecasts and budgets to aid in financial planning and decision-making.</p><p>• Utilize Accounting Software Systems to track and analyze financial data.</p><p>• Manage Accounts Payable (AP) and Accounts Receivable (AR) to ensure all financial transactions are properly recorded and processed.</p><p>• Conduct regular Auditing of financial transactions and reports, ensuring all financial activities are compliant with financial regulations.</p><p>• Oversee Budget Processes, ensuring all budget plans are accurate and align with the organization's financial goals.</p>Control Testing Manager<p>We are offering a contract to hire employment opportunity for a Control Testing Manager in the financial sector. In this role, you will lead a team of testing analysts to ensure the effective execution and completion of control tests in accordance with regulatory requirements and operational needs.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Lead and manage a team of testing analysts, providing guidance and support as needed</p><p>• Oversee the execution of control tests, ensuring they are carried out according to established policies and procedures</p><p>• Monitor the control testing queue and ensure all tests are completed within specified timelines</p><p>• Handle escalations related to any findings that fall outside the normal testing scope</p><p>• Review, approve, and assist in communicating the results of control testing</p><p>• Participate in the training and onboarding of new employees, as well as ongoing career development for staff members</p><p>• Utilize strong knowledge of financial regulations and policies in relation to testing functions</p><p>• Ensure compliance with regulatory laws and company procedures</p><p>• Use advanced process controls and spreadsheet software at an intermediate level to manage and document control testing</p><p>• Respond to, manage, and monitor the risk encountered daily as part of the company's risk management program.</p>CFO<p>We are offering an exciting opportunity for a CFO in Washington, Pennsylvania. In this role, you will oversee all financial accounting and reporting, manage the center's relationship with tax authorities, and be responsible for the fiscal management of grants. You will also develop, recommend, and implement accounting and operational policies and procedures, and ensure preparation of all regulatory reports.</p><p><br></p><p>Responsibilities:</p><p>• Overseeing all financial accounting and reporting, ensuring procedures and internal financial controls are maintained.</p><p>• Supervising purchasing, accounts receivable, accounts payable, and general accounting functions of the finance department.</p><p>• Directing the recruitment, supervision, training, and evaluation of the Finance Department staff.</p><p>• Managing relationships with federal and state tax authorities and government regulators.</p><p>• Participating in and providing input into management decisions, providing information, insight, and guidance with respect to financial and operational matters.</p><p>• Developing, recommending and implementing accounting and operational policies, procedures and processes that assure organized, efficient, and compliant management systems.</p><p>• Ensuring all insurance coverages are in place each year.</p><p>• Maintaining fiscal management of all private, city, state, and federal grants.</p><p>• Developing, supervising, and coordinating efforts to attain maximum third-party reimbursement.</p><p>• Ensuring preparation of all regulatory reports.</p><p>• Attending finance committee meetings and presenting the current fiscal situation.</p><p>• Preparing annual organizational, departmental, and special grants/programs budgets.</p><p>• Coordinating cash management functions related to governmental funding, banking, and accounting.</p><p>• Adhering to Health Insurance Portability and Accountability Act (HIPAA) as it relates to the Business Associate Agreement(s).</p><p><br></p>Accounting Manager/SupervisorWe are in search of an Accounting Manager/Supervisor to join our team in the renewable energy industry, based in Pittsburgh, Pennsylvania. In this crucial role, you will be tasked with overseeing various accounting activities, ensuring compliance with US GAAP, and supervising the accounting team. This role provides an exciting opportunity for those seeking to make a significant impact in a dynamic industry.<br><br>Responsibilities:<br>• Oversee and manage general accounting functions including reconciliations, collections, accruals, fixed assets, and debt<br>• Ensure technical compliance for a range of accounting topics under US GAAP, including complex areas such as derivatives, business combinations, and consolidation/VIE/intercompany<br>• Prepare and issue monthly, quarterly financial reports, as well as assist with annual audited financial statements and tax filings<br>• Ensure all accounting practices are compliant under the law and consistent with accounting principles<br>• Provide monthly, quarterly, and year-end variance to budget and prior period analyses<br>• Ensure timely submission of compliance filings including income and sales and use taxes<br>• Assist in the preparation of budgets and cash flow forecasts<br>• Supervise, mentor, and develop the accounting team, ensuring effective performance and detail-oriented growth<br>• Implement internal controls, policies system migration, and other process improvements and automation<br>• Strategize to improve financial processes and respond to team's inquiries and concerns.Treasury Manager<p>We are offering an exciting opportunity for a Treasury Manager, based in Pittsburgh, Pennsylvania. This role involves handling the company's treasury activities, ensuring alignment with management, and implementing financial policies and risk management strategies. The position also requires daily cash position monitoring and cash forecasting.</p><p><br></p><p>Responsibilities:</p><p><br></p><p>• Oversee the process of daily cash positioning, including coordination of funds transfers, cash concentration, foreign exchange transactions, and funding of all corporate obligations</p><p>• Develop and maintain both short-term and long-term cashflow forecasts, including forecasting leverage ratios for internal, credit agreement, and rating agency purposes</p><p>• Handle all aspects of the credit agreement (and any other debt obligations), including compliance, interest and principal payments, and revolving line of credit</p><p>• Create and maintain the Balance Sheet and Cash Flow forecast model, including the reporting of monthly variance</p><p>• Initiate funds transfers for approved disbursements and concentration of funds, ensuring that company bank accounts are not overdrawn</p><p>• Coordinate the cash concentration of all corporate cash balances to minimize idle cash holdings and maximize investment income</p><p>• Identify and lead profit improvement opportunities related to working capital, bank fees, and credit card fees</p><p>• Lead the analysis and execution of financial risk management (hedging) programs, including interest, foreign currency, and commodity</p><p>• Oversee the budgeting, reporting, and analysis of bank fees, credit/debit card transactions, and interest expense.</p>Technical Accounting Manager<p>We are offering a contract opportunity for a Technical Accounting Manager in Pittsburgh, Pennsylvania. As a Technical Accounting Manager, you will be working in the renewable energy industry, focusing on accounting activities for the company.</p><p><br></p><p>Responsibilities</p><p>• Oversee technical compliance in various accounting topics under US GAAP, including derivatives, business combinations, consolidation/VIE/intercompany.</p><p>• Assist in the preparation and issuance of monthly, quarterly financial reports, as well as annual audited financial statements and tax filings.</p><p>• Supervise general accounting functions such as reconciliations, collections, accruals, fixed assets, and debt.</p><p>• Ensure that all accounting practices are compliant under the law and consistent with accounting principles.</p><p>• Prepare monthly, quarterly, and year-end variance to budget and prior period analyses.</p><p>• Ensure timely submission of compliance filings including income and sales and use taxes.</p><p>• Contribute to the preparation of budgets and cash flow forecasts.</p><p>• Supervise, mentor, and develop the accounting team, ensuring effective performance and detail-oriented growth.</p><p>• Implement internal controls and policies system migration and other process improvements and automation.</p><p>• Interpret complex agreements to determine appropriate accounting treatment.</p>