Business Analyst II Local to FL only

Title:  Business Analyst (onsite)

Work authorization: any (candidate must be authorized to work in US)

Must-have skills: 10+ y of financial accounting exp; State of Florida Accounting System (FLAIR) or FL gov exp

Location:  Tallahassee, FL

PLEASE SEND LOCAL CANDIDATES ONLY.

Estimated Duration: 12 months with possible extension​(s)

Requirements:
• Availability to work 100% of the time at the Client’s site in Tallahassee, FL (required);
• Experience in the State of Florida Accounting System (FLAIR) usage and transactions, ledger management, and financial reporting;
• Experience with the State of Florida chart of accounts (i.e., usage, correlation);
• Experience with financial accounting and generally accepted accounting principles;
• Experience in analyzing large sets of data complex accounting data and propose corrective actions.
• A bachelor’s or master’s degree from an accredited college or university in accounting, or other related field, with 10 years of State of Florida governmental accounting work experience

Preferred:
• Experience in accounting and management of the State’s financial management processes;
• Experience in preparing financial accounting schedules and reports;
• Experience analyzing and reconciling financial data;
• Experience in requirements gathering, data analysis, design, development, testing, or implementation of financial management system(s);
• Experience working in team environments (i.e., as a leader or as a member);
• Experience performing business analysis functions, collaborating independently within a diverse cross-functional team, and engaging with subject matter experts, business users, or stakeholders to collect information;
• Ability to manage multiple complex projects.

Responsibilities include but are not limited to the following:
• Generate and manage data analysis, data cleanup, data conversion, and other task as required for the position;
• Analyze extensive datasets and propose corrective actions; and
• Reconcile financial data, recording or adjusting accounting entries to verify accurate categorization of receivables, payables, revenue, assets, cash, grants, payroll, disbursements, contracts, and projects

 

 

Thanks & Best Regards,

Vignan

Director – Business Development

www.Haavia.com

Email: [email protected]|

Voice: +1(908)- 428-4752

LinkedIn: https://www.linkedin.com/in/vignan-attaluri-61285b8/

 

 

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