Responsibilities:
- Prepare and deliver tailored financial reporting packages that provide meaningful insights to executive leadership and stakeholders.
- Oversee inventory management processes to ensure accuracy, consistency, and timely reconciliation of inventory data.
- Collaborate with the accounting team to ensure smooth and timely month-end close processes.
- Provide day-to-day financial oversight and assistance to the accounting team, ensuring best practices in accounting operations.
- Monitor and analyze daily cash flow activities, providing regular updates to leadership and anticipating future liquidity needs.
- Lead and support a range of strategic and operational financial projects as needed to drive growth and efficiency.
- Exceptional communication skills and the ability to collaborate across departments.
- Strong working knowledge of financial reporting, inventory accounting, and cash flow management.
Supervisory Responsibilities:
- Directly supervises a team of employees including Accounts Payable, Wholesale Billing, and Director of Planning.