Accounting & Finance Manager

We have partnered with a small but established Technology company in its search for an Accounting & Finance Manager. This is an individual contributor position, which is expected to grow into a Controller or Director of Finance role as the company continues to expand. This position will be responsible for hands-on, full-cycle accounting using Quickbooks, while taking on progressive FP&A duties such as Budgeting, Cash Forecasting, and Financial Analysis. This position will report directly to the CEO, and will work closely with the leadership team and other key employees throughout a growing company with around 50 current employees.

Job duties will include, although not be limited to:

  • Hands-on oversight of all General Ledger accounting duties, including reconciliations, journal entries, accruals, and adjusting entries
  • Preparation of financial statements in accordance with GAAP
  • Performing A/P, A/R, and Billing functions, while overseeing 3rd party Payroll
  • Working closely with the CEO and other leadership during the preparation of financial reports for Board of Directors review
  • Overseeing all Cash and Cash-related accounts, while performing bank reconciliations and maintaining banking relationships
  • Leading the annual budgeting process, which includes working closely with departmental managers in order assess business needs
  • Preparing the Statement of Cash Flows while maintaining the weekly, monthly, and quarterly Cash Forecast
  • Performing monthly variance analysis of key accounts, along with ad-hoc Financial Analysis
  • Serving as the key point of contact for external Auditors, and coordinating with the 3rd party Tax firm on a regular basis
  • Other progressive duties and special projects, as assigned by the CEO

To be considered, candidates should possess the following qualifications:

  • At least six (6+) years of Accounting experience
  • Bachelor’s degree (or higher) in Accounting or related field, with sufficient Accounting hours
  • Full-cycle accounting experience in a small or mid-sized company environment is highly desirable
  • Working knowledge of Quickbooks is required, along with strong Excel skills
  • Strong understanding of Generally Accepted Accounting Principles (GAAP) is needed
  • Prior exposure to corporate Finance duties including Cash Forecasting, Budgeting, and Analysis
  • A hands-on, start-to-finish mentality is needed
  • Outstanding communication and interpersonal skills

The company will provide a competitive base salary, along with annual bonus and comprehensive benefits to the chosen candidate. Other perks will include good Work-Life balance, a high-degree of exposure to company Leadership, and plenty of career growth potential for the chosen candidate.

Please note that this is a hybrid / partially-remote position which will require 2-3 days in the office per week.

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June 19, 2024

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