Vice President Controller
Company: National Investment Co.
Location: Northbrook
Posted on: November 13, 2024
Job Description:
Basic Function
An experienced financial leader focused on delivering quality and
timely information to business partners. A strategic thinker who
looks for opportunities to streamline processes and add value
through new paradigms. A high degree of business acumen,
organization and accounting knowledge required. Excellent
communication skills are essential. Supervise and manage staff to
ensure continued professional development and efficiency.
Responsible for general accounting and finance functions including
financial reporting and analysis, regulatory reporting, general
ledger integrity and control, reconciliations, accounts payable and
preparation of other reports, schedules and analysis as needed.
Knowledge and understanding of asset liability management and
reporting and investment management is required.
Essential Duties
- Responsible for financial report preparation and analysis,
including monthly close, variance analysis and Board of Director
reporting package.
- Coordinate month end closing process, including income,
liquidity and capital projections.
- Prepare and analyze other supporting schedules used for board
reporting, regulatory and income tax reporting, and internal and
external audit.
- Management of the accounts payable process including tracking
and reporting of expenses, variance analysis, and identification of
areas for improvement.
- Preparation of annual financial statements and coordination of
the annual financial statement audit with external
auditors.
- Continual review and implementation of process improvement
across the department.
- General ledger and bank account reconciliations, including
reporting and tracking of outstanding items.
- Responsible for ensuring a strong internal control environment
and integrity of general ledger and communicating key controls to
risk management for FDICIA.
- Preparation of supporting schedules and input or approval of
general ledger entries.
- Use of report writer to assist in analyzing or developing new
ways of delivering financial information and results.
- Primary point of contact for all correspondent bank
relationships.
- Monitor and manage collateral on customer deposits.
- Monitor and manage all wholesale bank funding.
- Monitor and manage investment activity and portfolio.
- Monitor and manage Asset/Liability function and reporting;
contributing ALCO member.
- Coordinate daily cash position reporting and execute
operational movements as needed.
- Manage and coordinate the Company's tax provision and
accounting for income taxes.
- Lead in the completion of the annual budget. Primary
responsibility for entering budget into financial planning
system.
- Assist in debt and capital planning.
- Assist and/or lead systems conversion projects as
needed.
- Prepare or review regulatory reports including quarterly Call
Report and Holding Company Y-9s.
- Professional development of staff.
- Lead financial presentations as needed.
Nonessential Duties
- Other duties as assigned.
Knowledge, Skills & Abilities
- Strong analytical and problem-solving skills.
- Strategic thinker with strong business acumen.
- Extremely organized with highest level of attention to
detail.
- Working knowledge of Generally Accepted Accounting Standards
(GAAP).
- Well-developed interpersonal and communication skills.
- Strong process improvement and efficiency skills; demonstrated
use of technology to achieve these improvements.
- Focused on always doing the right thing at the highest ethical
level.
- Demonstrated ability to work in a growing organization with
desire to evolve and flexible to change.
Training & Experience
- Bachelor's degree in Accounting or Finance or equivalent
experience, MBA preferred.
- Certified Public Accountant preferred.
- 7-10 years Accounting/Finance experience.
- 3-5 years recent bank experience in an accounting or finance
department.
- Public accounting experience desired.
- Microsoft proficiency, especially Excel, Word, PowerPoint and
Access.
- Strong computer application skills with Fiserv experience
desired.
- Plansmith or other ALM software experience desired.
- FDICIA experience desired.
First Bank Chicago is an Equal Opportunity Employer:
disability/veteran
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Keywords: National Investment Co., South Bend , Vice President Controller, Accounting, Auditing , Northbrook, Indiana
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