Description
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 company's financial strategy and operations. The candidate will possess a strong background in finance and management.
Responsibilities Create and present financial and tax strategy recommendations to CEOSupport the financial planning and analysis effortsOversee cash flow, cash management, working capital, and company auditsPrepare financial statements and reportsEnsure legal compliance on all financial functionsExecute the financial strategy of the companyDirects the preparation of all financial statements, including income statements, balance sheets, shareholder reports, tax returns, and governmental agency reports.
Perform risk management by analyzing the organizations liabilities and investments.
Ensure compliance with the law and companys policies.
Manage financial controls and accounting proceduresEnsure full transparency over the financial performance of the companyProvide advice on how to increase revenue and reduce costsEffectively and clearly communicate potential risks in a timely mannerPropose action plans to ensure that annual financial objectives are attainedSupport the CEO with the preparation of monthly and annual financial plansMaintain speed and accuracy of billings and client paymentsCoordinate and produce all tax documentation as requiredQualifications Strong finance-based analytical skillsExceptional communication skillsResults-oriented, strategic thinker and planner- 10 years' of finance experienceProfessional accounting designation (CA or CPA)Advanced computer skills, including proficiency in MS Office and Microsoft Dynamics SL financial reporting software