Job Duties:
• Reconcile general ledger accounts on a monthly basis
• Prepare journal entries on a monthly basis
• Produce reports for executives on hours and operating performance
• Hires, directs and motivates supervisory personnel, subcontractors and staff engaged in planning and executing work procedures
• Produce accurate collateral/availability report for lenders in a timely manner
• Provide a wide variety of customer service for customer and field locations
• Perform and direct treasury functions within the business specifically including banking relationships and management.
• Supervises the business process of weekly/monthly/quarterly payments
• Manages the audits of the business by working closely with external auditing firms
• Continually works with the Senior CFO to prepare the annual budget, lead timely financial reporting, and determine different funding avenues
• Communicate with co-workers, management, clients, franchisees, and others in a courteous and professional manner
Job Requirements:
• Minimum of 5 years previous experience with accounting supervision/management, financial statement preparation, and accounting software experience
• Preferred Bachelor’s degree in Accounting or Finance
• Preferred CPA or MBA certification
• Must be result and detail oriented and able to work comfortably in a fast-paced environment
• Must have strong analytical and organizational skills