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- Monitor, improve and develop internal control guidelines, policies and procedures for cash and credit management, financial reporting, administration and other activities.
- Manage the month-end close process and prepare financial statements. Familiarity with specific financial requirements for construction projects; including any project-based accounting and work-in-process reporting is required.
- Develop and report key performance indicators showing business performance.
- Prepare accurate and timely ancillary reports, schedules and dashboards for management and Board of Directors, ensuring transparency and accountability.
- Present monthly reports and risk analysis to management and Board of Directors.
- Manage bank relationship and online treasury platform, including daily cash management and weekly/monthly bank reconciliations, and loan covenant compliance.
- Manage the relationship with independent auditors.
- Ensure compliance with local, state and federal regulatory filing and tax requirements.
- Oversee annual budget process; prepare forecasts and financial models to provide insights into business performance, cost management, and investment opportunities.
- Supervise all finance personnel (controllers, AR/AP clerks etc.). Hire, train and retain finance and accounting staff.
- Oversee and manage IT and Human Resource functions, including collaboration on annual renewal process of property and casualty insurance policies, payroll and benefits administration, 401k program and health insurance.
- CPA strong preference; or an equivalent combination of related experience (10+ years) and education may be considered.
- Knowledge of Generally Accepted Accounting Principles; strong understanding of construction accounting, project costing, and contract management.
- In-depth knowledge of financial planning, budgeting, forecasting, and financial analysis.
- Strong interpersonal stills and ability to work in an entrepreneurial environment.
- Understanding of economic principles, financial markets and banking.
- Ability to deliver quality work on tight deadlines, with strong organization and priority setting skills.
- Effective written and verbal communication skills.
- Familiarity with QuickBooks is required.
- Experience with ERP system implementation is a plus.
- Boston-based or willing to relocate.
- Health insurance
- Paid time off
Chief Financial Officer - Boston, United States - W3Global Inc
Description
Job Description
Job DescriptionSeeking experienced Chief Financial Officer (CFO) with a desire to work in a dynamic and fast-growing Private Equity-backed business. The position is based in Boston, MA and would report directly to the CEO and work with the Board.
RESPONSIBILITIES
REQUIREMENTS
PAY
$175, $230,000.00 per year
BENEFITS