This is a hybrid role, collaborating onsite 2-3 days per week in our Lawrenceville office.
The ideal candidate will have proven industry experience in a senior finance role. As a strong communicator and skilled Finance Manager, your mission will be to streamline budgeting, cash management, and financial reporting processes.
This role will also manage a finance team of four, overseeing accounts receivable, collections, and accounts payable. Responsibilities include managing the month-end close, corporate sales reporting, and generating detailed sales and financial status reports to improve efficiency and support revenue, income, and margin growth.
Key Responsibilities:
- Manage month-end close, reviewing Balance Sheet, P&L, accruals, banking info, budget, monthly forecasting, and five-year plan.
- Produce monthly variance reports.
- Oversee the collections group, including account assignment and reporting, handling even the most delinquent accounts.
- Work with your team on cash application, process streamlining, and enhancing receipt matching with the Oracle team.
- Generate financial and sales reports on an ad hoc basis for senior management; proficiency in Oracle and report writing is essential.
- Develop financial dashboards for senior management, providing a comprehensive overview of company financial metrics.
- Supervise accounts payable activities, ensuring timely invoice processing and payments.
Qualifications:
- Bachelor’s degree in Accounting, Finance, or related field
- Proven experience in finance management
- Oracle ERP knowledge
- Strong understanding of accounting principles and financial regulations
- Proficiency in financial software and tools
- Excellent analytical and problem-solving skills
- Strong communication and leadership abilities
- Ability to work effectively in a fast-paced environment
Preferred Qualifications:
- CPA or equivalent certification
- Advanced knowledge of Excel and financial reporting software (PowerBI)
- Experience with financial forecasting and budgeting