Head of Finance - Clearwater, United States - San Rafael

San Rafael
San Rafael
Verified Company
Clearwater, United States

3 weeks ago

Mark Lane

Posted by:

Mark Lane

beBee recruiter


Description
We are looking for a seasoned professional to lead our corporate finance function.


The Director of Corporate Finance will be responsible for overseeing all financial activities of the company, including financial planning and analysis, treasury management, risk management, and capital allocation.

- making, optimizing financial performance, and ensuring compliance with regulatory requirements.


Key Responsibilities:


  • Oversee and

Manage Daily Operations:
_

  • Supervise and manage the daily operations of the accounting department, including accounts payable, accounts receivable, general ledger, and financial reporting functions.
  • Ensure the accuracy and completeness of financial records and transactions, overseeing reconciliations, journal entries, and monthend close processes.
  • Develop Accounting Policies and Procedures:_
  • Develop and implement accounting policies, procedures, and internal controls to safeguard company assets and ensure compliance with Generally Accepted Accounting Principles (GAAP) and other regulatory requirements.
  • Stay abreast of changes in accounting standards, regulations, and industry best practices, and ensure timely implementation of any updates or changes impacting the company's accounting practices.
  • Financial Reporting and Analysis:_
  • Prepare and analyze financial statements, variance analysis, and other management reports to provide insights into business performance and financial health.
  • Coordinate and assist with annual budgeting and forecasting processes, collaborating closely with department heads and senior management to develop financial plans and targets.
  • Audit and

Compliance Management:
_

  • Manage relationships with external auditors, tax consultants, and other thirdparty service providers to support audit and tax compliance requirements.
  • Ensure compliance with regulatory requirements and assist in the preparation of audit schedules and financial disclosures as necessary.
  • Team Leadership and Development:_
  • Develop & lead a team of accounting professionals, providing coaching, guidance, and performance feedback to foster a culture of continuous improvement and professional growth.
  • Collaborate with crossfunctional teams to support strategic initiatives, special projects, and process improvements aimed at enhancing operational efficiency and
- effectiveness.

  • Treasury Management and

Financial Planning:
_

  • Oversee treasury management activities, including cash flow forecasting, liquidity planning, and working capital optimization to support operational needs and strategic initiatives.
  • Evaluate investment opportunities, capital allocation strategies, and financing options to maximize shareholder value and support business growth objectives.
  • Risk Management and

Internal Controls:
_

  • Assess and mitigate financial risks, including credit risk, market risk, and operational risk, by implementing robust risk management policies, procedures, and controls.
  • Ensure the integrity of financial data and compliance with internal controls by implementing effective monitoring mechanisms and conducting periodic reviews.

Qualifications:


  • Bachelor's degree in Finance, Accounting, Economics, or related field; MBA or CPA preferred.
  • Proven track record of at least 5 years of progressive experience in corporate finance, treasury management, and financial planning and analysis.
  • Strong analytical and quantitative skills, with the ability to translate complex financial data into actionable insights and recommendations.
  • Excellent communication and presentation skills, with the ability to effectively interact with senior executives, board members, and external stakeholders.
  • Demonstrated leadership abilities, with a strategic mindset and a collaborative approach to problemsolving.
  • Thorough understanding of financial markets, investment principles, and regulatory requirements.
  • Proficiency in financial modeling, and accounting software.

Additional Details:

- $120,000 - $130,000 Base salary negotiable on experience

  • Bonus opportunity
  • PTO
  • Dental & Vision Insurance
  • 401K + Match
  • Opportunity for growth

Pay:
$120, $130,000.00 per year


Benefits:


  • 401(k)
  • 401(k)
matching

  • Dental insurance
  • Paid time off
  • Vision insurance

Experience level:

  • 5 years

Schedule:

  • Monday to Friday

Application Question(s):

  • Do you currently hold any licenses or certifications related to Accounting and Finance?

Education:


  • Bachelor's (required)

Experience:


  • Corporate finance: 5 years (preferred)
  • Corporate accounting: 7 years (preferred)
  • Financial analysis: 7 years (preferred)

License/Certification:

  • CPA (preferred)

Ability to Commute:

  • Clearwater, FL (required)

Work Location:
In person

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