Financial Planning and Analysis: Develop, monitor, and manage the company’s financial planning and budgeting processes. Provide detailed financial analysis to support strategic decision-making.
Financial Reporting: Prepare and present accurate and timely financial statements, reports, and analyses to senior management and stakeholders.
Budget Management: Oversee the preparation of the annual budget, track actual performance against budget, and provide variance analysis.
Cash Flow Management: Monitor and manage the company’s cash flow to ensure liquidity and optimize working capital.
Compliance: Ensure compliance with local, state, and federal financial regulations and reporting requirements. Coordinate with external auditors during audits.
Internal Controls: Implement and maintain robust internal controls to safeguard company assets and ensure the integrity of financial information.
Risk Management: Identify financial risks and develop strategies to mitigate them.
Cost Control: Evaluate and manage the company’s expenses to identify cost-saving opportunities and improve profitability.
Tax Planning and Management: Oversee tax planning and compliance, including the preparation and filing of tax returns.
Team Leadership: Manage and mentor the finance team, fostering a culture of continuous improvement and professional development.
System Implementation: Oversee the implementation and maintenance of financial systems and software to streamline processes and improve accuracy.
Stakeholder Communication: Communicate financial performance and strategic recommendations to the executive team and other stakeholders.