Responsibilities:
- Lead the annual budget cycle and maintain the financial plan and regularly reassess performance vs. Budget
- Leverage financial data and analysis to provide broad decision support to leaders and help drive strategic decisions
- Significant cross-functional collaboration
- Report detailed operating results, identify trends and convert that information into insight
- Identify opportunities for efficiency, automation, improvement and cost savings
- Analyze and provide financial input in all areas affecting the organization and develop financial strategies to help steer the company towards its goals
- Ideally has experience working with a business backed by private equity
- Excellent verbal, interpersonal, presentational, and written communication skills
- Enthusiasm and significant excitement to help a business grow in a very fast-paced environment
Experience/ Education
- BA/BS in Finance or Accounting
- CPA or MBA or equivalent credential preferred
- 4+ years’ experience with financial planning and reporting responsibilities
- Advanced Microsoft Excel skills including building business models
- Excellent interpersonal communication and problem-solving skills