Primary Responsibilities:
- Perform monthly financial close (including all necessary accruals)
- Prepare monthly, quarterly, and annual financial statement packages
- Analyze financial statements vs. history and budget to identify trends, insights
- Maintain and distribute 13-week cash flow forecast
- Manage financial modules in ERP (currently Acumatica, a cloud-based platform)
- Ensure timely cash collection by managing billing and collections staff
- Oversee inventory accounting, management, and control
- Define and ensure compliance with written company/GAAP accounting policies
- Manage sales tax and income tax compliance and reporting
- Support annual financial and tax audits
- Serve as primary treasury management point of contact and authority
- Supervise staff accountant(s)
Key Qualifications:
- CPA required
- 10+ years accounting experience; 5+ years’ experience in consumer packaged goods
- Demonstrated success in a similar role
- Highly organized
- Proactive and high-energy
- Superior skills in Excel (e.g., pivot tables, array formulas, data tables, 2/3 dimensional lookups)
- Comfortable with direct communication and eager to both accept and provide feedback