As a Corporate Finance Manager, you will oversee several things on a day-to-day basis – from preparing financial statements to managing cash flow, and many things in between.
Our company is family oriented and is always striving to offer the best patient care for our communities. Everyone takes ownership of their responsibilities, but feels they are a part of something bigger.
So, what is this position all about?
Reporting, reporting, reporting (Yes, you are a MASTER of Microsoft Excel)
· Prepare monthly financial statements and present to the ownership group. This includes using your accounting knowledge to complete all month-end duties.
· Lead financial analysis of operating performance such as cost variances and margins.
· Provide monthly updates to performance against budget and forecast.
· Complete year-end close and required reconciliations.
· File sales tax, periodic reports, and other necessary reports to keep the company in good standing
Wear that advisor hat (you look good in it…)
· Advise leadership group on ways to increase profit and cash flow.
· Make recommendations on areas we can drive improved financial and operating performance.
· Implement corporate internal controls and develop procedures to streamline productivity and keep the corporation in line with GAAP compliance.
Working with others
· Actively manage the accounting department to ensure internal deadlines are achieved.
· Oversee the day-to-day cash management. This includes preparing cash flow, initiating ACH’s and bank transfers, and reconciling bank activity.
· Ability to build strong relationships and communicate effectively with external agencies such as banking representatives, lawyers, tax accountants, insurance agents, etc. This includes keeping us compliant on all debt covenants and insurance requirements.
What’s in it for you?
Awesome question!
In addition to a steady bi-weekly paycheck, annual merits, and a long list of comprehensive benefits (such as medical, dental, vision and 401(k) match), there are a lot of great perks. We pride ourselves on the unique culture we have built that emphasizes work life balance and attracts extremely talented individuals.
What do we expect from you?
· 5-7 years of progressive finance experience in any combo of public accounting, corporate finance, or financial reporting. Tax planning and/or tax accounting is an awesome plus.
· A Bachelor’s in Finance or Accounting (an MBA or CPA is preferred).
· You have advanced analytical, organizational, and financial modeling skills.
· Problem-solving and balancing multiple priorities at once is fun for you.
· You demonstrate strong leadership characteristics and are highly collaborative.
· You have proven experience generating support and buy-in from co-workers.
· Strong written and verbal communication skills.
· Mastery in Microsoft Excel.
· Experience in Great Plains is a plus.
Job Type: Full-time
Pay: $70,000.00 – $85,000.00 per year
Benefits:
Schedule:
Ability to commute/relocate:
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Work Location: One location
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