Responsibilities
Manage budgeting activities for multiple locations
Manages daily cash position
Safeguard the organizations financial standing
Coordinates with banks and other financing sources
Advises management about key financial risks
Selects worthy investments and capital projects
Monitors budgets and expenditures
Forecasts financial performance
Ensuring that proposed projects are likely to be beneficial
Managing major projects and working with vendors (employee benefits, HRIS, IT systems, etc.)
Making decisions about company funding options, insurance contracts, and other financial issues
Carrying out risk management activities
Assessing the likely impact of problems such as late payment and limited cash flow
Managing direct reports in multiple locations
Requirements
Minimum 6 years of experience or in similar role
Deep understanding of financial regulations, industry regulations, local laws in multi-states, legislation, and statutes
Proficient in MS Office and financial management software
Knowledgeable in finance and investment management
Strong organizational and analytical skills
Excellent communication and presentation skills
Great decision-making skills
Bachelor’s degree in Finance, Accounting, or related field