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Jerhemy

Cost Accounting Manager

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Eagle Mountain,Utah,United States
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Competencies

Cost ReportingIntermediate

Demonstrated experience with Cost Reporting.

Inventory ReconciliationIntermediate

Demonstrated experience with Inventory Reconciliation.

Team LeadershipIntermediate

Demonstrated experience with Team Leadership.

Financial ReportingIntermediate

Demonstrated experience with Financial Reporting.

Variance AnalysisIntermediate

Demonstrated experience with Variance Analysis.

Education

M.S.
University of Utah
2015
B.S.
University of Utah
2003

Languages

enNative

Summary

View Jerhemy's professional profile on CazVid.

Experience

Cost Accounting Manager

Weir
January 2024 - present

Drive accurate cost reporting for product lines via the ERP system, covering sales, margins, and variances, Oversee manufacturing cost accountability, including scrap, rework, returns, and internal cost control measures, Ensure seamless reconciliation of inventory dollars and physical inventories, maintaining accuracy across locations, Responsible for multiple locations, both domestic and international, Lead and mentor a team of cost reporting and cost accounting professionals, providing guidance, training and performance management to ensure goals and objectives are met, Prepare a variety of financial statements, reports and analysis timely and accurately

Senior Cost Analyst

Biomerics
August 2022 - January 2024

Analyze expenses and cost transactions; ensures that transactions are recorded accurately and assigned to the appropriate projects and departments, Provides detailed financial analysis and reports of expenses including breakdowns of project costs, forecasts of remaining expenses, and opportunities to increase efficiency, Prepares periodic cost reconciliation reports tracking data such as changing labor and supply costs, Generate an adjusted trial balance report to review the final balances in the ledger, Procedures addressed in month-end closing include depreciating fixed assets, reconciling inventory discrepancies, settling work in progress material, posting billing documents, Systems and programs: Netsuite, EIQ, and Access

Financial Analyst

Reckitt
November 2019 - August 2022

Manage financial aspects of assets and provide clear visibility to leadership team and corporate control team, Verify spend on Capital Expenditure projects, Capitalize, write-off and maintain asset balances, Open, close and maintain internal orders, General ledger posting to Balance Sheet, P&L and test for audit compliance, Complete settlements and allocations in SAP for weekly reporting and month-end closing, Create the adjusting entries to recognize prepaid expenses, accrue outstanding invoices, relieve accruals that have been paid, and recognize depreciation and other amortizations, Procedures addressed in month-end closing include depreciating fixed assets, reconciling inventory discrepancies, settling work in progress material, posting billing documents, Systems and programs: SAP Turbo, Blackline(Super User) and Anaplan

Cost Accountant/Outlet Manager

Nestle
April 2018 - November 2019

Work with local business committees in seeking cost improvements and validating savings, Supervise plant assets and work with engineers on proper capitalization and completion of projects, Daily and weekly reporting of production labor, Supervise and manage day to day operations of the onsite Outlet Store, Supervise and manage linen room and scheduling for production, Work extensively with SAP and Excel for analysis and reporting

Finance Director

Chick-Fil-A
January 2017 - April 2018

Monthly forecasting and P&L analysis for American Fork and Lehi locations, Manage the accuracy of expense reporting, cash management and transfers, Responsible for accurate monthly inventory, Maintain a working relationship with all departments and vendors to find cost cutting measures, Profit and Loss analysis and reporting

Store Manager

Jo-Ann Fabric and Craft
November 2015 - December 2016

Financial analysis of sales, expenses, Key Performance Indicators and P&L Statements, Recruiting, interviewing, and developing employees, Managing multiple business units in one building – Main Store, Framing, and Education

Store Manager

Office Depot
January 2012 - November 2015

District Manager in Training – P1 (promotable within a year), Top 5% of stores based on: Financial analysis of sales, expenses, Key Performance Indicators and P&L Statements, Sales – increases through market knowledge and competition, Operational profit – increasing margin and cutting cost, Customer service – creating an experience through a total solutions approach

Skills

Cost ReportingInventory ReconciliationTeam LeadershipFinancial ReportingVariance Analysis
Published on CazVid - May 17, 2026
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