Responsible for the financial health of the company. Producing financial reports and developing strategies based on financial research and strategies for the company. Guiding senior executives in making sound business decisions in the long and short term.
・ Execute the day-to-day financial operations within the company, such as payroll, invoicing and other transactions
・ Oversee financial department staffing requirments
・ Contract outside services for tax preparation, auditing, banking, investments, and other financial needs as necessary
・ Track the company's financial status and performance to identify areas for potential improvement
・ Seek out methods for minimizing financial risk to the company and its owners
・ Research and analyses and present strategies for tax mitigation and optimized performance.
・ Provide insightful information and expectations to senior executives to aid in long-term and short-term decision making
・ Monitor Cash Flow and present data as requested.
・ Review financial data and prepare monthly and annual reports
・ Present financial reports to owners
・ Assist executive leadership with acquisition strategies and audit evaluation for targets.
・ Stay up to date with technological advances and accounting software to be used for financial purposes
・ Establish and maintain financial policies and procedures (SOPs) for the company
・ Understand and adhere to financial regulations and legislation.
・ At least 5 years of accounting and finance working experience
・ Ideally experience in people management
・ Ideally experience in year end audit and tax filing