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About Us
TrueBlue (NYSE: TBI) is a leading staffing, recruiting, and workforce management company. The company fills individual positions on demand, staffs entire facilities, and manages outsourced recruiting processes and staffing vendor programs for a wide varietyof clients. The company's specialized workforce solutions meet clients needs for a reliable, efficient workforce in a wide variety of industries including--construction, energy, manufacturing, financial services, pharmaceuticals, transportation, aviation, and energy. TrueBlue assigns as many as 100,000 people to work each day, drawing from a database of hundreds of thousands of candidates, and places more than 250,000 people in permanent positions each year.
Main Responsibilities
Monthly Management Accounts
• Manage and support the delivery of the monthly month-end close process,
ensuring all financial activities are completed accurately, on time, and in line
with internal procedures
• Prepare, review, and maintain accurate monthly management accounts,
including supporting schedules, journals, accruals, prepayments, and financial
analysis.
• Prepare and review monthly balance sheet reconciliations and clear aged items
regularly
• Prepare and review monthly variance analysis for revenue , gross profit and other
SGA costs as part of the monthly accounts
• Maintain a strong understanding of revenue streams and produce analysis
reports proactively
• Manage and review intercompany accounting postings
• Maintain a strong understanding of deferred income, PO write-downs, and
matching processes to support business queries
• Use SmartView and Oracle to produce reports and investigate variances
• Record the UK trial balances in Oracle (US system)
• Lead meetings with the internal audit team and review balance sheet
reconciliation processes
• Prepare, support and review the monthly and quarterly compliance documents
to the US for internal audit purposes
• Support the annual statutory audit process, taking ownership of assigned audit
areas and ensuring audit requirements are completed accurately and on time.
• Provide guidance, support, and coaching to team members within the GBS
shared service office, helping to develop finance capability and knowledge.
Experience Required (Essential)
• Proven experience in a finance or accounting role, with strong knowledge of
month-end close processes, management accounts, and financial reporting.
• Experience preparing and reviewing balance sheet reconciliations
• Experience analyzing financial results, including revenue, gross profit, and
operating expense variances, with the ability to provide meaningful commentary.
• Experience supporting audits and responding to audit queries
Skills/Aptitude Required (Essential)
• 1-3 years of relevant experience
• Strong Excel skills, including pivot tables, lookups, and basic formulas
• Good analytical and problem-solving skills
• High attention to detail and accuracy
• Ability to manage priorities and meet deadlines
• Clear written and verbal communication skills
• Experience working within a shared service environment and collaborating with
multiple stakeholders across teams or regions
• Experience providing guidance, support, or coaching to junior team members
and contributing to process improvements.
Job ID: 151566689