Prepare and analyze financial statements, including profit and loss statements, balance sheets, and cash flow statements.
Generate regular financial reports for management, highlighting key performance indicators and financial metrics.
Coordinate strategic financial planning for the company, including expenses, income, insurance coverage, objectives, tax status, and risk tolerance
Develop and manage the company's budget, ensuring alignment with strategic objectives.
Provide insights and recommendations to support strategic decision-making.
Support finance partners in implementing valuation models, measuring results, tracking performance vs. expectations, and providing recommendations for corrective action
Provide insights about spending trends, cost-savings initiatives and tax optimizaion opportunities
Coordinate with internal and external auditors to ensure accurate and timely completion of audits.
Promote a culture of energy, integrity and transparency within the finance team and the organization.
Requirements:
Bachelor’s degree (or equivalent) in finance or a professional degree in accounting
At least 3 to 5 years of proven experience
A very high degree of drive and motivation
Ability to learn quickly and adapt to changing strategy and need for reporting
Must not be someone who has a tendency to get bored quickly
Excellent analytical skills and ability to identify patterns
Adept at Microsoft Excel with additional experience with financial softwares
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