- Own the daily, monthly, and annual financial close processes, including general ledger maintenance, accounts payable, accounts receivable, and payroll.
- Design, implement, and scale financial policies, procedures, and internal controls to protect company assets.
- Prepare accurate, timely monthly financial statements (P&L, balance sheet, cash flow) for management review.
- Manage local, state, and federal tax filings, regulatory compliance, and support annual external audits or reviews.
- Evaluate, select, and implement modern financial tech stacks and automation tools such as ERPs, expense management, and billing software.
- Partner with operations and department heads to support initiatives and data needs.
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