Finance & Accounting Manager

Remote, United States
Direct Hire

POSITION OVERVIEW:

We are seeking an experienced and analytical Finance and Accounting Manager with strong numerical skills to drive our organization's financial operations and improve financial performance. Duties will include overseeing company finances, setting financial targets, creating and monitoring the company budget, developing a financial strategy, conducting feasibility studies, monitoring expenditures, monitoring cash flow, and managing tax compliance. Your skills in financial management will assist our organization in implementing effective financial strategies, managing debt, improving revenue, and maintaining a healthy financial position.

The ideal candidate should possess strong analytical skills, good strategic thinking, excellent communication skills, exceptional numerical proficiency, and strong leadership skills. The Finance/Accounting Manager should harmonize financial operations, develop effective financial strategies, guide efforts towards financial stability, monitor all financial activities, promote revenue growth, and ensure compliance with accounting regulations.

The Finance/Accounting Manager works hand-in-hand with all levels of management and the CEO to track metrics of growth, profitability, cash flow and expenses, to ensure performance is in line with company strategies and goals. The Finance/ Accounting Manager is responsible for the overall management of the accounting and finance department.

RESPONSIBILITIES WILL INCLUDE:

  • Assessing, managing, and minimizing risk.

  • Ensure accurate and timely financial reporting are provided to upper management and the CEO.

  • Oversee Accounts Payable and Accounts Receivable activities.

  • Monthly reconciliation of accounting system

  • Oversee cash-flow management

  • Oversee the company’s Fixed Assets Accounting including acquisition, capitalization and depreciation of software, technology, equipment, etc.

  • Responsible for maintaining an organized and detailed General Ledger, tracking account information that is necessary to assess the company’s performance on an ongoing basis.

  • Produce accurate and timely Financial Statements in order to understand the company’s financial performance.

  • Develop projections for profit and loss statements, balance sheets, budgets, burn rate and other cash flow forecasts.

  • Responsible for oversight and completion of the fiscal year end audit and business tax return process. This includes working directly with an outside tax preparer/auditor to ensure all tax returns for all companies are filed correctly.

  • Track and analyze key performance indicators and provide strategic advice to improve operations, forecast challenges and track corporate goals

  • Assist in refining and implementing finance and accounting policies and procedures, internal controls, and analytical processes

  • Directing financial planning and strategy.

EXPERIENCE REQUIREMENTS:

  • 4+ years' experience in accounting or finance.

  • Proficiency in accounting software, particularly well-versed in Quickbooks.

  • CPA designation

  • Expertise in accrual accounting

  • Ability to meet deadlines, and handle multiple projects at the same time

  • Financial management experience.

  • Strong aptitude for math.

  • Good communication skills.

  • Computer literacy.

  • Strong analytical skills.

  • Broad knowledge of accounting principles.

  • Well-organized and detail oriented

  • Time management and the ability to prioritize

  • Self-motivated and strong initiative

SALARY RANGE:

$85,000 - $100,000

BENEFITS:

Full-Time

401k, Dental, Medical, Life Insurance Offered

Bonus + Profit Sharing

Employee Wellness Program

Employee Professional Development Funding