Manage monthly and quarterly financial close deliverables, including, but not limited to account
reconciliations, variance analysis, auditing schedules and financial reporting
Provide leadership with insights into drivers of business growth, risks and opportunities
Analyze financial results and key performance metrics to support decision making
Build and maintain financial models to set budgetary targets and goals
Partner with cross-functional teams to ensure operational efficiencies
Identify potential areas for process improvement and track projects through completion
Establish business relationships to maintain account compliance
Qualifications/Skills:
Strong leadership, presentation and organizational skills
Highly motivated, detail oriented and self-starter
Degree in Finance, Accounting, Economics or other equivalent practical practice
Financial modeling, budgeting and forecasting experience a plus
Proficiency in Microsoft Office suite
Experience in ERP modules such as Accounts Payable, Accounts Receivable and Cash