I am a well-rounded and hands-on financial professional, with strong leadership and expertise in financial analysis, presentations, month-end close consolidation. Key Responsibilities 1. Month-End process, including bank reconciliations, monthly journal entries and GL reconciliations. 2. Treasury management including forecasting and bank reporting. 3. Develop and recommend actions to achieve company financial objectives. 4. Oversee the monthly cost center analyses for all departments and ensure they are responsible in any variances and if necessary, to propose corrective actions. 5. Manage Account Payable, Account Receivable and Cost Accounting 6. Responsible for accuracy and accumulation of total manufacturing cost and inventory control., Financial lead on performing quarterly physical inventories. 7. Provide all needed financial data to CPA’s for annual review of financial statements. 8. Develop, implement and monitor compliance with internal controls in the finance department 9. Develop and maintain special processes in both Accounts Payable and Accounts Receivable areas. 10. Work with senior executives to streamline supervision process vis financial analysis Specific Knowledge and Skills 1. Proven analytical abilities and high level of detail orientation 2. Proven leadership, communications and teamwork abilities 3. Good to have Consumer Goods/ produce background 4. Manufacturing and/or Retail experience preferred. 5. Must have strong understanding of Microsoft Excel I will relocate if it is necessary to do so. Please feel free to contact me at any time by calling (661)-742-4924. I am available at your earliest convenience.