Senior Manager, Corporate Finance

Aaron'sAtlanta, GA
10dOnsite

About The Position

Senior Manager, Corporate Finance This position is based in Atlanta, GA in our Galleria office and is an on-site role. Applicants in CA, CO, DC, HI, IL, MD, MA, MN, NJ, NY, RI, VT, and WA are not eligible for this posting. Senior Manager, Corporate Finance The Senior Manager, Corporate Finance, will play a critical role in overseeing the organization's daily capital and liquidity management, while also driving long-term strategic planning initiatives across the business. This highly visible position will also serve as the primary liaison to multiple lending partners, ensuring timely delivery of all required documentation and managing the related flow of funds. The position involves regular collaboration with internal teams such as accounting, treasury, analytics, and merchandising, as well as external communication with lending partners. This role requires strong organizational and communication skills, along with experience in finance operations and relationship management.

Requirements

  • Advanced financial modeling and quantitative analysis skills
  • Proficient in Microsoft Office Suite, especially Excel and PowerPoint
  • Strong understanding of financial concepts, particularly credit facilities and debt instruments
  • Solid business acumen with the ability to apply financial knowledge to decision-making and problem-solving across various situations
  • Excellent written and verbal communication skills, with the ability to clearly convey complex processes and financial information to diverse audiences
  • Strong attention to detail and high degree of accuracy in work products
  • Effective collaboration and interpersonal skills for working across teams and with external partners
  • Bachelor's Degree in Accounting or Finance
  • 7 years of relevant experience
  • 2+ years of supervisory experience preferred

Nice To Haves

  • MBA is a plus but not required

Responsibilities

  • Develop and maintain complex financial models, including multi-year, three-statement models and weekly cash flow forecasts
  • Oversee liquidity management in coordination with treasury and other business functions
  • Track and manage the deliverables to lending partners, such as borrowing base submissions and required compliance reporting
  • Collaborate with cross-functional teams to produce both recurring and ad-hoc reporting and analysis
  • Ensure reporting processes and deliverables meet high standards for accuracy and timeliness
  • Prepare clear and effective financial and operational presentations for both internal and external stakeholders
  • Apply financial analysis and a variety of quantitative and qualitative methods to assess business issues, summarize findings, and propose actionable recommendations

Benefits

  • Paid time off, including vacation days, sick days, and holidays
  • Medical, dental and vision insurance
  • 401(k) plan with contribution matching
© 2024 Teal Labs, Inc
Privacy PolicyTerms of Service