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Posted on: 22 Mar 2024
Job Location: Orlando, US
Job Description:
Job DescriptionJob Description Orlando based construction general contractor is seeking an accounting professional to join our construction company in Central Florida. Position requires an entrepreneurial mindset and a willingness to develop and implement processes to streamline accounting functions. The optimal candidate will have experience in operations, finance and taxation to remain ahead of market trends and tax changes. REPORTS TO: President Knowledge and Skill Requirements: Knowledge of finance, accounting, budgeting, and cost control principles including Generally Accepted Accounting Principles. Knowledge of automated financial and accounting reporting systems. Knowledge of federal and state financial regulations. Ability to analyze financial data and prepare financial reports, statements and projections. Working knowledge of short- and long-term budgeting and forecasting, Work requires professional written and verbal communication and interpersonal skills. Ability to motivate teams to produce quality materials within tight time frames and simultaneously manage several projects. Ability to participate in and facilitate group meetings. Ability to understand company strategy, influence that strategy and work effectively with the owners and other stakeholders. Provide guidance, a different perspective and alternatives to the owners. Position Summary: Manage Financial Department to execute day to day operations As a Senior Team Member manage the financial requirements of the company. Project forecasting, department budgets and cash flow, asset budgets and cash flow, quarterly reports, company metric reports to President Support of multiple growth and strategic opportunities Provide financial guidance and insights regarding capital capacity, leverage analysis and cash flow Provide a sounding board to the owner Protect the company from legal and financial risks Coordinate company financial planning and budget management functions. Provide cost analysis and reports on project financial performance Monitor and analyze monthly operating results against budget and prior year Prepare financial outlooks and financial forecasts for the company Ensure compliance with local, state, and federal reporting requirements Provide guidance and support for department managers Establish and implement departmental goals, objectives, policies, and operating procedures Daily cash management Interface with outside accountants, bonding agencies and other professionals Job Type: Full-time, in office Benefits: 401(k) Health, dental, vision insurance Life, disability insurance Paid time off #J-18808-Ljbffr
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