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The position involves leading and overseeing all accounting operations to ensure efficient and accurate financial management. The role requires managing the timely and accurate completion of month-end and year-end close processes, producing financial statements for stakeholders, including investors, board members, senior management, and lending institutions. The candidate will develop, implement, and maintain robust internal controls to safeguard company assets and oversee consolidations, including international operations and foreign currency transactions. Additionally, the role includes providing strategic leadership in treasury management, ensuring effective cash flow management and financial stability, and leading the preparation, organization, and execution of company budgets and financial forecasts. The candidate will conduct detailed analyses and reconciliations of general ledger accounts, commission calculations, and other financial data, delivering comprehensive financial and operational analyses to support business growth and decision-making. Compliance with US GAAP and all applicable regulations is essential, as well as acting as the primary contact for internal and external audits. The candidate will continuously monitor accounting systems and financial data, optimizing processes to support rapid company growth, and partner with management to provide strategic and tactical financial insights. The role also involves overseeing the accounting department’s budget and collaborating with all departments to drive improvements in accounting and financial policies, procedures, and processes.