Job Description:
Develop goals and direct teams and departments to successful completion
Reconcile balance sheet accounts and provide management with period end reconciliation.
Work closely with grower settlement team to reconcile and clear Grower Payable on a weekly basis. Ensure that growers are being paid correctly.
Manage grower contracts and ensure that financial results reflected accurately.
Participate in developing long-term strategies for the accounting team.
Prepare the working capital budget and forecasts which include preseason advance, crop inventory and grower payable.
Work and support the year-end audit with independent accounting firm including preparing schedules, performing research, and communicating results to auditors.
Guide overall financial decisions and protects assets by establishing, documenting, monitoring, and enforcing internal controls, policies and procedures
Compile multiple sources of information to generate an accurate Estimate/Forecast for the Period/Quarter, summarize the results and explain key variances.
Liaison with other departments in accounting and grower-related questions.
Measure performance of special projects (OE, etc.) for profitability and cost efficiency.
Policies and procedure integration to achieve corporate vision and goals.