Finance - Director, Finance

Helix Traffic Solutions, LLCSan Antonio, TX
8d

About The Position

The Director of Finance is responsible for the oversight of the day‐to‐day accounting operations, the monthly close process, financial statement preparation, analyses, regulatory reporting, as well as the strategic financial planning and reporting. The position requires knowledge of all aspects of generally accepted accounting principles (GAAP). The Director of Finance is a key member of the organization’s leadership team.

Requirements

  • Ability to work a flexible schedule
  • Solid understanding of US GAAP accounting principles and financial analysis including an advanced understanding revenue recognition and lease accounting
  • Ability and willingness to be hands‐on and dive into the detail
  • Demonstrated track record in building and developing superior finance teams with best practices in a high‐growth, high change environment
  • Analytical and problem‐solving skills
  • Continuous process improvement mindset
  • Advanced Excel skills and comprehension
  • High attention to detail and ability to work within stringent deadlines
  • Ability to interact and influence direct and indirect reports and peers
  • Bachelor’s or master’s degree in accounting or finance
  • 7+ years progressive financial management experience
  • 3+ years of supervisory experience in finance
  • Solid financial, analytical, and business acumen

Nice To Haves

  • CPA license or equivalent certification preferred

Responsibilities

  • Full ownership and accountability for all aspects of the accounting operations including daily cash management, accounts receivable and invoicing, accounts payable, general ledger maintenance, fixed asset subledgers and account reconciliations.
  • Performs weekly cash flow forecast and intercompany cash activities.
  • Prepares financial statements and supporting schedules according to monthly close schedule in accordance with GAAP reporting.
  • Responsible for Intercompany reconciliation process.
  • Responsible for regulatory reporting, including local business taxes.
  • Supports annual financial audit.
  • Safeguards the Company’s assets through establishing, monitoring, and reviewing effective internal controls.
  • Lead annual strategy, annual budget and forecasting, monthly estimates, and monthly business reviews in partnership with the President and executive team members.
  • Drive automation, efficiency, and scalability initiatives to meet growth requirements.
  • Lead and manage a team.
  • Perform additional projects/duties to support ongoing business needs
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