Directing all aspects of accounting operations, overseeing all transactions related to general ledger, receivables, payables, payroll and financial reporting.
Analyzing company's financial results with respect to profits, trends, costs and compliance with budgets. Issue regular status and ad hoc reports to senior management.
Providing strategic guidance around capital financing options to support company growth needs.
Developing and coordinating all relationships with lending/financial institutions.
Developing and maintaining all necessary accounting policies and systems, including general ledger and financial reporting. Ensuring that records are maintained in accordance with generally accepted accounting principles. Oversee contract bookkeeper.
Assisting senior management in financial planning and results management. Work with other team members to understand revenue and cost drivers and define appropriate reports for tracking.
Coordinating, preparing and reviewing monthly, quarterly, and annual reports.
Coordinating and/or preparing tax schedules, returns and information.
Managing relationships with insurance providers and ensuring compliance.
Managing all tax planning and compliance with all required federal, state, local, payroll, property and other applicable taxes.
Managing cash flow.
Interacting with venture capital partners and board of directors.
Other finance and administrative duties as required.
7-10 plus years of managerial accounting and financial management experience.
Experience working in a growing start up environment is an added advantage.
Bachelor’s degree in Accounting, Finance or Business
Strong organizational skills, attention to detail, ability to prioritize and meet deadlines.
Experience with activity based project costing
Ability to multi-task in a fast-paced environment with fluctuating priorities and deadlines.
Ability to work without direct supervision, and efficiently manage tasks and time.
Merger and acquisition finance experience.