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Accountant, Financial Reporting, Financial Analyst

Job in Davis, Yolo County, California, 95617, USA
Listing for: HM.CLAUSE
Full Time position
Listed on 2026-01-15
Job specializations:
  • Finance & Banking
    Financial Reporting, Financial Analyst
  • Accounting
    Financial Reporting, Financial Analyst
Salary/Wage Range or Industry Benchmark: 72000 - 85000 USD Yearly USD 72000.00 85000.00 YEAR
Job Description & How to Apply Below

Join to apply for the Accountant role USE

This range is provided by HM.CLAUSE. Your actual pay will be based on your skills and experience — talk with your recruiter to learn more.

Base pay range

$72,000.00/yr - $85,000.00/yr

Talent Acquisition Specialist USE

WE BUILD TRUST WITH FARMERS AROUND THE WORLD BY SUPPORTING THEM TO SUSTAINABLY IMPROVE THE QUALITY AND FLAVOR OF THEIR PRODUCTION.

HM.CLAUSE is a Business Unit of Limagrain, an international agricultural co-operative founded and managed by farmers. HM.CLAUSE specializes in the breeding, production, and sale of vegetable seeds. From the world market to the farmer's market, we collaborate with our customers to deliver successful solutions for the agricultural challenges of today and produce the highest quality vegetable seeds for the future. Our global team of experts and state‑of‑the‑art research facilities enable us to work side‑by‑side with growers to provide the most regionally relevant and reliable vegetable seeds available.

If our mission resonates with your passion, we look forward to your application.

A. Day to Day Activities
  • Assists in the development, implementation, and interpretation of local and global goals, policies, and procedures relating to financial management, JDE, internal controls and accounting.
  • Assists in activities related to the month‑end, quarter‑end and year‑end financial closings in accordance with the fiscal calendar and the US GAAP and IFRS requirements.
  • Maintains regular contact and builds solid working relationships with various functions to ensure a high level of customer service and work product.
  • Responsible for international intercompany activities related to various affiliates/sister companies including monthly billings of non‑seed activity, reconciliation of intercompany accounts and reporting of intercompany balances in SAP Business Objects JD Edwards and BFC systems.
  • Administer Capital expenditure (CAPEX) requisition for approval. Assign authorization for expenditure (AFE) to CIP projects. Monitor various CIP projects and report on actual spend versus budgeted spend. Assist with processing invoices related to CIP projects.
  • Analysis and reconciliation of various balance sheet accounts including CIP, prepaid expenses, short‑term and long‑term lease payables, IFRS 16 lease management, property tax accrual, sales and use tax payable, payables and cash out, FX gain and loss, fringe benefits.
  • Assist with administration of Fixed Assets system.
  • Assist with month‑end, quarter‑end, and year‑end close deliverables.
  • Preparation and posting of routine and non‑routine accounting journal entries and balance sheet account reconciliations.
  • Assumes other responsibilities and provides coverages of functions as required.
B. Reporting & Analysis
  • Provide an up‑to‑date report of product performance claims to Quality Assurance and management monthly.
  • Assist with financial reporting of various AMPA subsidiaries to include financial statement preparation in U.S. GAAP and in IFRS.
  • Monthly input and report of intercompany balances in SAP Business Objects BFC system.
  • Responsible for CAPEX/CIP reports including budgetary report of CIP funds.
  • Responsible for IFRS 16 Lease management, reconciliation and reporting using Viareport system.
  • Provides monthly analysis of various operating expense accounts.
  • Responsible for monthly, quarterly, and annually US census and group survey reporting.
  • Assist with Financial statement preparation in U.S. GAAP and in IFRS.
  • Ad hoc reporting as required for local and international initiatives such as Duty Drawback, Tariff Seed Exemption, FX Mutualization, Fleet Vehicle Reporting, and other projects as assigned.
C. Transactions
  • Prepares and reconciles intercompany billings and transactions associated with subsidiaries, domestic sister companies and international affiliates.
  • Prepare, reconcile, and analyze CIP accounts.
  • Responsible for monthly reconciliation of balance sheet, income, and expense accounts.
  • Participates in documentation of new and existing accounting policies and procedures.
  • Identifies problems and inconsistencies and provides appropriate corrective action.
  • Participates in special projects as opportunities arise and…
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