Financial Controller
Job in
California, Moniteau County, Missouri, 65018, USA
Listed on 2026-09-20
Listing for:
PainCeptor
Full Time
position Listed on 2026-09-20
Job specializations:
-
Accounting
Financial Reporting, Financial Compliance, Financial Analyst, Accounting & Finance -
Finance & Banking
Financial Reporting, Financial Compliance, Financial Analyst, Accounting & Finance
Job Description & How to Apply Below
QUALIFICATIONS:
(Include equipment knowledge/use)
- Minimum four years experience in accounting, financial analysis, financial report writing or related area, preferably in the gaming industry, required.
- Experience in an automated accounting environment helpful.
- Must possess excellent communication, organizational and analytical skills
- Experience with financial accounting, financial management and reporting, and financial statement interpretation required
- Must be extremely numbers oriented and computer literate with superior spreadsheet skills.
- Ability to read, analyze and interpret the most complex of documents such as technical journals, financial reports and legal documents.
- Ability to respond to common inquiries or complaints from guests, regulatory agencies or members of the business community.
- Ability to effectively present information to top management, public groups and /or Boards of Directors
- Ability to define problems, collect data, establish facts and draw valid conclusions.
- Assist/coordinate monthly/quarterly/year-end financial close.
- Approves (assists in Preparation if needed) journal entries prior to posting to the general ledger.
- Responsible for preparing monthly, quarterly, and annual financial statements in compliance with GAAP in a timely manner for the property and proper distribution thereof.
- Review and ensure that the financial records are accurate and maintained up to date.
- Oversee monthly/quarterly/yearly tax returns.
- Administers financial accounting, payroll, and accounts payable process.
- Oversees financial accounting accounts payable, and payroll
- Responsible for daily/ monthly reporting on company cash position.
- Review/prepare bank information for internal and external distribution.
- Assist in interest payments/renewals of bank borrowing notes.
- Process wire transfers and ACHs when necessary.
- Assist to maintain capital/fixed asset purchases, tracking and reporting.
- Assist to maintain fixed asset register. Prepare special reports and analysis at the direction of Senior Management
- Signs checks and purchase requisitions.
- Perform other duties as assigned
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