Finance Manager at Confidential Posting in Columbus, Ohio

Posted in Other about 2 hours ago.

Type: full-time





Job Description:

Position Summary

The Finance Manager will play a critical role in managing the company's treasury operations and provide financial planning and analysis (FP&A) support. This individual will be responsible for ensuring efficient treasury management, providing robust FP&A support, and taking on additional finance-related duties as required. The ideal candidate will have a strong analytical mindset, a deep understanding of financial principles, and the ability to work collaboratively across departments.

Position Responsibilities

Treasury Management
  • Cash Flow Management: Oversee daily cash management operations, ensuring adequate liquidity for operational needs. Forecast short-term and long-term cash flows and maintain optimal cash levels.
  • Banking Relationships: Manage relationships with banks and other financial institutions and ensure compliance with covenants.
  • Investment Management: Implement and monitor short-term investment strategies, ensuring compliance with company policies and risk tolerance.
  • Debt Management: Manage the company's debt portfolio, including loan agreements, interest payments, and principal repayments. Evaluate refinancing options when applicable.
  • Foreign Exchange Management: Monitor foreign currency exposures and manage hedging strategies to mitigate risks associated with currency fluctuations.

Financial Planning & Analysis (FP&A) Support
  • Budgeting: Support the forecasting and annual budgeting process, working closely with department heads to develop accurate and realistic budgets.
  • Financial Reporting: Prepare and present monthly, quarterly, and annual financial reports to senior management, including variance analysis and key performance indicators (KPIs).
  • Cost Management: Analyze costs and provide recommendations for efficiency improvements. Monitor and report on cost-saving initiatives.

Other Duties as Assigned
  • Audit Support: Support internal and external audits by providing necessary documentation and explanations of financial data.
  • Other Reporting: Provide information and support to third-party insurance providers, tax advisors, PE sponsors and others as needed
  • Process Improvement: Identify and implement process improvements to enhance the efficiency and accuracy of financial operations.
  • Cross-Department Collaboration: Work closely with other departments, including operations, sales, and HR, to provide financial insights and support business initiatives.

Position Requirements

  • Bachelor's Degree in Accounting or Finance.
  • 5+ years of experience in finance, with a focus on treasury, FP&A, or corporate finance.
  • Strong analytical and problem-solving skills.
  • Proficient in financial modeling and data analysis.
  • Advanced proficiency in Excel and financial software (e.g. Oracle, OneStream).
  • Excellent communication and presentation skills.
  • Ability to work independently and manage multiple projects simultaneously.
  • Experience with liquidity, cash management, cash forecasting and international treasury operations preferred.
  • Ability to work under pressure and within short time constraints in a complex system and business environment.

Company information will be shared as part of the interview process.

Confidential Company is an Equal Opportunity Employer (EOE): race, ethnicity, religion, sex, gender or gender identity, sexual orientation, age, disability, national origin, or any status protected by applicable law.

This is not a position for which sponsorship will be provided. Individuals who need sponsorship for work authorization now or in the future are not eligible for hire.
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