Lead financial operations, including accounting oversight, monthly close, and financial reporting. Review and analyze P&L, balance sheet, and cash flow statements. Develop and maintain financial models for forecasting revenue, expenses, and cash flow. Lead annual budgeting and rolling forecast processes. Develop dashboards and KPI tracking. Provide financial analysis to support strategic planning. Own cash flow planning, liquidity management, and working capital strategy. Identify and implement systems and tools to improve financial reporting efficiency. Collaborate with leadership to translate financial results into actionable insights. Manage and mentor junior finance staff.