Objective of this Role:
- Responsible, either directly or by managing staff, for all cash management, investments, insurance, budgeting, and financial reporting, helping to drive the company's financial strategy and hiring needs
- Coordinate the development of the annual operating, capital, and program budgets, and reporting against the same
- Ensure cash flow is compatible with company operations, by overseeing the day-to-day accounting, recording, reporting, and internal control activities of the organization
- Lead the development and use of best-practice policies, practices, and tools that ensure a well-controlled yet flexible organization with strong fiscal management, project management, cross team communications and workflow
- Comply with federal, state, and local financial requirements by studying existing and new legislation, enforcing compliance, and taking action
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