Develop and execute a comprehensive financial strategy aligned with company mission and growth. Lead annual and seasonal budget planning and forecasting. Manage cash flow forecasting, liquidity planning, and banking relationships. Define, track, and evangelize financial targets and KPIs. Craft investor decks, board materials, and financial narratives. Deliver financial intelligence with actionable insights. Lead accurate and timely GAAP and cash-based reporting. Oversee tax compliance, audit preparation, and regulatory filings. Support capital planning and fundraising efforts.