Job
Description
As a Finance Manager, your role involves monitoring cash flow, liquidity, and working capital to ensure adequate funding for ongoing operations and strategic initiatives. You will develop and implement financial policies, procedures, and internal controls to safeguard company assets and ensure compliance with regulatory standards. It is essential to prepare accurate and timely financial statements, reports, and forecasts for management, board of directors, and external stakeholders. Key responsibilities include: - Managing the annual budgeting process and providing financial guidance to department heads to ensure alignment with organizational goals and objectives. - Conducting financial analysis, variance analysis, and cost-benefit analysis to identify areas for improvement and optimize financial performance. - Coordinating and overseeing external audits, tax filings, and regulatory compliance to ensure adherence to legal and statutory requirements. - Evaluating and recommending financial systems, tools, and technologies to streamline processes, enhance reporting capabilities, and improve efficiency. - Collaborating cross-functionally with departments such as sales, operations, services, logistics, and IT to support business initiatives and drive continuous improvement. - Providing leadership, mentorship, and professional development opportunities to finance team members to foster a culture of excellence and high performance. Qualifications required for this role: - Bachelor's degree in Finance, Accounting, or related field. - CPA or CFA certification preferred. - Strong analytical skills and attention to detail. - Excellent communication and interpersonal skills. - Proven experience in financial planning and analysis. If there are any additional details about the company in the job description, please provide them. As a Finance Manager, your role involves monitoring cash flow, liquidity, and working capital to ensure adequate funding for ongoing operations and strategic initiatives. You will develop and implement financial policies, procedures, and internal controls to safeguard company assets and ensure compliance with regulatory standards. It is essential to prepare accurate and timely financial statements, reports, and forecasts for management, board of directors, and external stakeholders. Key responsibilities include: - Managing the annual budgeting process and providing financial guidance to department heads to ensure alignment with organizational goals and objectives. - Conducting financial analysis, variance analysis, and cost-benefit analysis to identify areas for improvement and optimize financial performance. - Coordinating and overseeing external audits, tax filings, and regulatory compliance to ensure adherence to legal and statutory requirements. - Evaluating and recommending financial systems, tools, and technologies to streamline processes, enhance reporting capabilities, and improve efficiency. - Collaborating cross-functionally with departments such as sales, operations, services, logistics, and IT to support business initiatives and drive continuous improvement. - Providing leadership, mentorship, and professional development opportunities to finance team members to foster a culture of excellence and high performance. Qualifications required for this role: - Bachelor's degree in Finance, Accounting, or related field. - CPA or CFA certification preferred. - Strong analytical skills and attention to detail. - Excellent communication and interpersonal skills. - Proven experience in financial planning and analysis. If there are any additional details about the company in the job description, please provide them.