Finance Manager
New
W
Wisepath GroupFinance and Accounting
U.S.-based candidates are preferred, Eastern TimeFull-TimeManager
Salary90,000 - 120,000 USD per year
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Job Details
- Experience
- At least five years of progressive accounting or finance experience.
- Required Skills
- Microsoft ExcelAccountingNetSuiteQuickBooks
Requirements
- Bachelor’s degree in accounting, finance, or a related field.
- At least five years of progressive accounting or finance experience.
- Strong knowledge of generally accepted accounting principles (GAAP), financial reporting, reconciliations, and month-end close procedures.
- Experience analyzing profitability, margins, expenses, and other business-performance drivers.
- Experience managing cash flow, treasury activities, and short- and long-term liquidity needs.
- Proficiency with accounting or ERP systems such as QuickBooks, NetSuite, or comparable platforms.
- Advanced Microsoft Excel or spreadsheet skills, including experience working with large data sets.
- Experience reconciling financial information between accounting, CRM, billing, commission, or reporting systems.
- Ability to work effectively and independently in a remote environment.
- Availability to work during Eastern Time business hours.
Responsibilities
- Monitor profit-and-loss performance, margins, and cost drivers across multiple business entities.
- Manage the organization’s overall cash position, including cash-flow monitoring, treasury activities, and liquidity planning.
- Oversee day-to-day accounting activities, including accounts payable, accounts receivable, general-ledger entries, and account reconciliations.
- Manage monthly and year-end closing activities across multiple entities.
- Prepare monthly, quarterly, and annual financial statements, management reports, and variance analyses for the CFO and executive leadership.
- Support annual budgeting, cash-flow forecasting, and financial-planning processes.
- Coordinate tax filings, audits, and related requests with external CPA and compliance partners.
- Maintain financial controls, procedures, and supporting documentation to ensure accurate and audit-ready records.
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