Manager, Finance – Houston, TX

Precision Drilling Corporation
Published
October 15, 2021
Location
Denver, CO
Category
Job Type

Description

Company: Precision Drilling Holdings Company

Location: Houston, TX

Summary

The successful candidate needs to be detail-oriented, able to work in a fast-paced environment, and continually be looking for ways to improve the department and organization. This position reports directly to the Assistant Controller and will be responsible for managing the full-cycle accounting process of Precision Drilling Company LP. As the Finance Manager, you will be responsible for but not limited to:

Responsibilities

  • Direct supervision of the US Accounting Pool inclusive of mentoring, coaching, and distribution/monitoring of workload;
  • Responsible for review and posting of all US Accounting Pool journal entries;
  • Responsible for distribution and ensuring adherence to monthly closing checklist;
  • Responsible for maintaining the financial records in compliance with Precision’s internal reporting requirements;
  • Preparation of annual budgets, quarterly reports, rolling forecasts and year-end statements;
  • Prepare ad hoc reports as required by management and corporate personnel;
  • Assist with quarter and year-end financial audit requirements;
  • Serve as liaison between Finance and other departments such as Billings, Payroll, Fixed Assets, Operations, and Accounts Payable regarding data, information integrity and accuracy;
  • Performance of assigned SOX Compliance to ensure adherence to Precision’s accounting policies;
  • Preparation of annual US legal entity financials for presentation to the Board;
  • Oversee annual 401k audit tie out in coordination with the Benefits department;
  • Preparation and presentation of quarterly Balance Sheet review to Chief Financial Officer;
  • Monthly review and distribution of Overhead and G&A expense analysis reports to management;
  • Effectively identify and communicate the progression and needs of the US Accounting Pool to Controller;
  • Work closely with Canadian counterparts to ensure processes and procedures are aligned;
  • Oversee monthly reconciliation and maintenance/clearing of GL Accounts;
  • Oversee monthly US bank reconciliation process in adherence with SOX requirements;
  • Training and personally working in open positions as required;
  • Oversee the validity of procedures and the documentation of those procedures as they pertain to responsibilities of the Accounting Pool; and
  • Performing other related duties as required.

Education & Experience

Bachelors degree in Accounting, Finance Business Administration or equivalent;

CPA preferred;

5-7 years of progressive experience with a minimum of 2 years at a supervisory level;

SAP experience required.

Skills & Competencies

Full cycle accounting experience;

Proactive mentality to assigned responsibilities;

Teamwork and communication skills;

Excellent computer skills;

Knowledge of accounting procedures, financial reporting and information systems;

Problem-solving and decision-making abilities as well as the ability to supervise and mentor staff;

High attention to detail and ability to multi-task; and

Highly analytical.

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