The ideal candidate will be responsible for financial strategy, financial planning and analysis, financial reports, company audits, compliance, and bank relationships. They will collaborate with the CEO and the executive team to make decisions regarding the company's financial strategy and operations. The candidate will possess a strong background in finance and management.
If you do not have strong business development experience, please do not apply.
Responsibilities
- Create and present financial and tax strategy recommendations to CEO
- Support the financial planning and analysis efforts
- Oversee cash flow, cash management, working capital, and company audits
- Prepare financial statements and reports
- Ensure legal compliance on all financial functions
- Manage relationships with banks
Qualifications
- Strong finance-based analytical skills
- 7 - 10 years of finance experience
- CPA or MBA preferred but not required
- Expert skill level using Excel and other tools for hands-on reporting and analysis
- Strong communicator who is able to convey financial information and strategy across all levels of the organization
- Proactive attitude to analyze business performance and profitability, find profitability leaks, and support business development with financial expertise
- Ability to lead teams of experts and support continuous development of team members
- Solid knowledge base to advise at multiple levels on accounting-related questions in both theory and application
- Intercompany transaction and consolidation practice experience a must
- Experience within an international, multi-site organization preferred
- Experience in risk management, insurances, and legal tasks is a benefit
All qualified applicants will receive consideration without regard to race, age, color, sex (including pregnancy), religion, national origin, disability, sexual orientation, gender identity, marital status, military status, genetic information, or any other status protected by applicable laws or regulations.
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