About Vantage Since 1983, Vantage Deluxe World Travel develops and delivers memorable travel journeys on seven continents whether on land, riverboats or small ships. Vantage Deluxe World Travel is a $300 million, state-of-the-art direct marketer of travel to the affluent mature market. When you join the Vantage team you become part of a global company, headquartered in Boston, with eight regional offices around the world. Our worldwide teams work together to provide exciting, culturally enriching travel programs to destinations on all seven continents, including on our European river cruise fleet. Since 1983, more than 400,000 travelers have joined us to see the world. Vantage Deluxe World Travel is the leader in adventure travel for thirty-five years. Vantage’s workplace culture is fun, collaborative, and meaningful. Our associates are fueled by the tangible results of delivering memorable and life-changing journeys while working collaboratively across the globe. Our associates don’t just help others travel, but we enable them to experience the Vantage Travel difference with several opportunities to explore the globe on a Vantage journey, too! Alongside free annual international travel opportunities, we recognize the hard work of our global associates with a competitive benefits package, flexibility, and myriad wellness options. Our convenient location next to TD Garden and North Station puts associates in the heart of world-class downtown Boston and just steps from a major transit hub convenient for city dwellers and commuters alike. Some of our benefits include:
Your choice of employer-subsidized medical plans, as well as comprehensive dental and vision plans
3 weeks of vacation time to start, 10 paid holidays, 5 sick days, and 3 personal days
401K with generous employer match
Tuition Assistance Program
Telecommuting and flexible work arrangements depending on position
Free international travel opportunities for associates, plus 25% discount on all trips for the associate and their family and personal airline ticket discounts
90% subsidy on MBTA passes inside of Boston and up to 50% subsidy on commuter rail passes
Wellness program offering weekly fresh fruit delivery, on-site fitness center with Peloton bikes and lockers, weight loss benefits, and discounts on fitness boot camps and personal training Financial Analyst: We envision the right candidate for the role growing in their capacity to take ownership of processes themselves and expand the capabilities that the department can offer. Reporting to the Director of Financial Planning, the Financial Planning Analyst will be integral in the running of operational and financial reporting, creating new analytics to help the company run as efficiently and effectively as possible, as well as help to automate processes currently in place. To be successful in this position, strong quantitative skills and keen attention to details are crucial. This company is run by the numbers and strictly adheres to weekly reporting and holding associates accountable to their numbers. This is not a remote position. Job Responsibilities:
Support the Senior Director of FP&A and CFO with the preparation of budgets and forecasts and provide process documentation and oversight for the worldwide operations
Help manage the weekly rolling-multiyear budgets and forecasting process
Create the PowerPoint decks and underlying financial and operational models for our weekly management meetings and monthly off site meeting
Update and maintain point in time operational reports to track inventory, pace, trip extensions, airfare, cancellations etc.
Maintain the data uploads to ensure our systems have accurate information
Build and maintain reporting for Deferred and Direct Marketing
Data analysis and interpretation of results
Assurance of data integrity, accuracy, and consistency
Help Director of FP&A with the reporting automation plan to start integrating established analytics into a new Business Intelligence system
The FP&A team provides support to the company at large, so tasks can vary depending on business need
Qualifications:
We are looking for an energetic and diligent Financial Planning Analyst to join our growing Financial Planning team
Strong quantitative, analytical, critical thinking and problem solving skills
Ability to analyze and synthesize data in a concise and clear manner
We prefer six (6) to nine (9) years of Corporate Strategy, Financial Planning, Accounting, or Investment Banking experience. A bachelor’s degree in business, finance, accounting, economics, or another quantitative related field from a top university
Ability to work independently and handle multiple and complex tasks at once, while delivering accurate results in quick time frames
Advanced technical and financial acumen: proficiency in Excel is required for the role, prior SQL and Dax/PowerBI knowledge is preferable.
Financial literacy and understanding of financial statements
Excellent communication skills in both oral and written settings
06/23/2020
Full time
About Vantage Since 1983, Vantage Deluxe World Travel develops and delivers memorable travel journeys on seven continents whether on land, riverboats or small ships. Vantage Deluxe World Travel is a $300 million, state-of-the-art direct marketer of travel to the affluent mature market. When you join the Vantage team you become part of a global company, headquartered in Boston, with eight regional offices around the world. Our worldwide teams work together to provide exciting, culturally enriching travel programs to destinations on all seven continents, including on our European river cruise fleet. Since 1983, more than 400,000 travelers have joined us to see the world. Vantage Deluxe World Travel is the leader in adventure travel for thirty-five years. Vantage’s workplace culture is fun, collaborative, and meaningful. Our associates are fueled by the tangible results of delivering memorable and life-changing journeys while working collaboratively across the globe. Our associates don’t just help others travel, but we enable them to experience the Vantage Travel difference with several opportunities to explore the globe on a Vantage journey, too! Alongside free annual international travel opportunities, we recognize the hard work of our global associates with a competitive benefits package, flexibility, and myriad wellness options. Our convenient location next to TD Garden and North Station puts associates in the heart of world-class downtown Boston and just steps from a major transit hub convenient for city dwellers and commuters alike. Some of our benefits include:
Your choice of employer-subsidized medical plans, as well as comprehensive dental and vision plans
3 weeks of vacation time to start, 10 paid holidays, 5 sick days, and 3 personal days
401K with generous employer match
Tuition Assistance Program
Telecommuting and flexible work arrangements depending on position
Free international travel opportunities for associates, plus 25% discount on all trips for the associate and their family and personal airline ticket discounts
90% subsidy on MBTA passes inside of Boston and up to 50% subsidy on commuter rail passes
Wellness program offering weekly fresh fruit delivery, on-site fitness center with Peloton bikes and lockers, weight loss benefits, and discounts on fitness boot camps and personal training Financial Analyst: We envision the right candidate for the role growing in their capacity to take ownership of processes themselves and expand the capabilities that the department can offer. Reporting to the Director of Financial Planning, the Financial Planning Analyst will be integral in the running of operational and financial reporting, creating new analytics to help the company run as efficiently and effectively as possible, as well as help to automate processes currently in place. To be successful in this position, strong quantitative skills and keen attention to details are crucial. This company is run by the numbers and strictly adheres to weekly reporting and holding associates accountable to their numbers. This is not a remote position. Job Responsibilities:
Support the Senior Director of FP&A and CFO with the preparation of budgets and forecasts and provide process documentation and oversight for the worldwide operations
Help manage the weekly rolling-multiyear budgets and forecasting process
Create the PowerPoint decks and underlying financial and operational models for our weekly management meetings and monthly off site meeting
Update and maintain point in time operational reports to track inventory, pace, trip extensions, airfare, cancellations etc.
Maintain the data uploads to ensure our systems have accurate information
Build and maintain reporting for Deferred and Direct Marketing
Data analysis and interpretation of results
Assurance of data integrity, accuracy, and consistency
Help Director of FP&A with the reporting automation plan to start integrating established analytics into a new Business Intelligence system
The FP&A team provides support to the company at large, so tasks can vary depending on business need
Qualifications:
We are looking for an energetic and diligent Financial Planning Analyst to join our growing Financial Planning team
Strong quantitative, analytical, critical thinking and problem solving skills
Ability to analyze and synthesize data in a concise and clear manner
We prefer six (6) to nine (9) years of Corporate Strategy, Financial Planning, Accounting, or Investment Banking experience. A bachelor’s degree in business, finance, accounting, economics, or another quantitative related field from a top university
Ability to work independently and handle multiple and complex tasks at once, while delivering accurate results in quick time frames
Advanced technical and financial acumen: proficiency in Excel is required for the role, prior SQL and Dax/PowerBI knowledge is preferable.
Financial literacy and understanding of financial statements
Excellent communication skills in both oral and written settings
Join a fast growing company that is transforming its industry! Financial Recovery Technologies has become a trusted partner to hedge funds, mutual funds, custodians, sovereign wealth funds, and other institutional investment firms, and our best-in-class people and technology have made FRT a market leader. We are seeking a motivated financial analyst to join our growing team. This role will collaborate with departments across the business to perform analyses, build financial planning tools, develop metrics and dashboards, and assist with creating and presenting outputs used to support management and the executive team in making timely and informed decisions related to our strategic objectives. The role: As a Financial Analyst at FRT, you will:
Own financial planning and budgeting across the business
Develop department-level and company-level financial planning analytics, including budget/forecast, variance and sensitivity analyses, and identification of KPIs and other key metrics
Own variance analysis, forecasting/reforecasting, and financial performance reporting and communications to functional leaders, the executive team, and the FRT Board
Develop models to be utilized for the annual budget/forecast as well as potential strategic initiatives
Identify issues, opportunities, and trends and prepare analyses to guide strategic business decisions
Review and analyze internal financial data to identify issues, opportunities and trends to provide the executive team and others with financial analysis input that will drive decision making including project profitability, productivity analysis, and return on investment
Prepare analyses incorporating external benchmarks, market and competitor data, and potential M&A or new business development opportunities to guide business decisions
Review corporate development opportunities, including M&A
Analyze potential deals as they arise to determine proper valuation or other deal terms
Perform ad hoc tasks as assigned by the Controller and CFO
Our ideal candidate has:
A Bachelor’s Degree in finance, accounting, economics or another analytical discipline; MBA or CFA preferred
A minimum of four year of progressive finance experience; experience in financial services and/or fintech highly desirable
Experience in building and managing finance processes, including forecasting, budgeting, and capital planning
Strong MS Office skills; specifically advanced Excel skills with the ability to create financial models and analytics out of disparate and raw data sets and effectively present findings in an efficient and effective manner to members of management
Advanced analytical and project management skills
Excellent written and verbal communications
Passion and an ability to work in an entrepreneurial and fast-paced environment
Drive – you are self-motivated, hard-working, and able to work independently
A collaborative style, prioritizing collaboration over credit, with an interest in building strong relationships with peers at all levels across corporate functions;
Intellectual curiosity, with a demonstrated commitment to continuous growth; and
Of course, a desire to join a growing company with a vibrant, entrepreneurial culture, dedicated to being the top provider in the class action recovery space.
WHAT FRT OFFERS:
Competitive salary and bonus
Health, dental, vision
401k (with company match)
Income protection plans (life, accidental death and dismemberment, short- and long-term disability) and access to a suite of voluntary benefits
Close to public transit (walking distance to Wellington T on Orange Line)
Free drinks and snacks
Free parking onsite
Free access to onsite gym
Fun, smart, diverse colleagues
06/23/2020
Full time
Join a fast growing company that is transforming its industry! Financial Recovery Technologies has become a trusted partner to hedge funds, mutual funds, custodians, sovereign wealth funds, and other institutional investment firms, and our best-in-class people and technology have made FRT a market leader. We are seeking a motivated financial analyst to join our growing team. This role will collaborate with departments across the business to perform analyses, build financial planning tools, develop metrics and dashboards, and assist with creating and presenting outputs used to support management and the executive team in making timely and informed decisions related to our strategic objectives. The role: As a Financial Analyst at FRT, you will:
Own financial planning and budgeting across the business
Develop department-level and company-level financial planning analytics, including budget/forecast, variance and sensitivity analyses, and identification of KPIs and other key metrics
Own variance analysis, forecasting/reforecasting, and financial performance reporting and communications to functional leaders, the executive team, and the FRT Board
Develop models to be utilized for the annual budget/forecast as well as potential strategic initiatives
Identify issues, opportunities, and trends and prepare analyses to guide strategic business decisions
Review and analyze internal financial data to identify issues, opportunities and trends to provide the executive team and others with financial analysis input that will drive decision making including project profitability, productivity analysis, and return on investment
Prepare analyses incorporating external benchmarks, market and competitor data, and potential M&A or new business development opportunities to guide business decisions
Review corporate development opportunities, including M&A
Analyze potential deals as they arise to determine proper valuation or other deal terms
Perform ad hoc tasks as assigned by the Controller and CFO
Our ideal candidate has:
A Bachelor’s Degree in finance, accounting, economics or another analytical discipline; MBA or CFA preferred
A minimum of four year of progressive finance experience; experience in financial services and/or fintech highly desirable
Experience in building and managing finance processes, including forecasting, budgeting, and capital planning
Strong MS Office skills; specifically advanced Excel skills with the ability to create financial models and analytics out of disparate and raw data sets and effectively present findings in an efficient and effective manner to members of management
Advanced analytical and project management skills
Excellent written and verbal communications
Passion and an ability to work in an entrepreneurial and fast-paced environment
Drive – you are self-motivated, hard-working, and able to work independently
A collaborative style, prioritizing collaboration over credit, with an interest in building strong relationships with peers at all levels across corporate functions;
Intellectual curiosity, with a demonstrated commitment to continuous growth; and
Of course, a desire to join a growing company with a vibrant, entrepreneurial culture, dedicated to being the top provider in the class action recovery space.
WHAT FRT OFFERS:
Competitive salary and bonus
Health, dental, vision
401k (with company match)
Income protection plans (life, accidental death and dismemberment, short- and long-term disability) and access to a suite of voluntary benefits
Close to public transit (walking distance to Wellington T on Orange Line)
Free drinks and snacks
Free parking onsite
Free access to onsite gym
Fun, smart, diverse colleagues
Job Requirements: Position will oversee the general ledger activity for numerous clients of our Firm. Duties include: - Performing necessary journal entries to properly prepare accrual financial statements. - Complete on-boarding for new bookkeeping clients. - Processing payroll with high efficiency and accuracy. - Reviewing all quarterly and annual payroll taxes for federal, state, and local entities as prepared by staff. - Qualifications: - Bachelor's degree in accounting and at least three years experience preparing accrual financial statements and payroll related tax reports. - Thorough understanding of accounting concepts including a demonstrated working knowledge of QuickBooks Online. - Proficiency in Microsoft Office applications including Word, Excel, and Outlook. Job Type: Full-time Experience:
accounting: 3 years (Required)
Benefits:
Health insurance
Retirement plan
Paid time off
Schedule:
Monday to Friday
Other
06/17/2020
Full time
Job Requirements: Position will oversee the general ledger activity for numerous clients of our Firm. Duties include: - Performing necessary journal entries to properly prepare accrual financial statements. - Complete on-boarding for new bookkeeping clients. - Processing payroll with high efficiency and accuracy. - Reviewing all quarterly and annual payroll taxes for federal, state, and local entities as prepared by staff. - Qualifications: - Bachelor's degree in accounting and at least three years experience preparing accrual financial statements and payroll related tax reports. - Thorough understanding of accounting concepts including a demonstrated working knowledge of QuickBooks Online. - Proficiency in Microsoft Office applications including Word, Excel, and Outlook. Job Type: Full-time Experience:
accounting: 3 years (Required)
Benefits:
Health insurance
Retirement plan
Paid time off
Schedule:
Monday to Friday
Other
Responsibilities
REPORTING:
Become a super-user of the new CPM suite
Develop financial and management reports to meet the needs of the business. Continue to enhance reporting as requirements change
Maintain and distribute the various reporting package templates for ownership and management
Prepare ad hoc reports as required
PLANNING:
Create budgeting and forecasting models for the company using the CPM
Prepare forecasts as required by the company
Manage the annual budget process
ANALYSIS:
Review business performance and look for trends and other indicators to bring to management’s attention
Review the accuracy of data underpinning the reports, identify opportunities to improve data collection and accuracy
Analyze payroll and benefits trends, coordinate with Payroll and Human Resources to ensure accurate payroll reporting
OTHER:
Such other assignments as the company may require from time to time
Qualifications
To perform this job successfully, an individual must be able to perform each essential function satisfactorily. The requirements listed below are representative of the knowledge, skill, and/or ability required.
Education & Experience
Bachelor's degree in Accounting or Finance required, CPA preferred, together with 3-6 years of professional experience in accounting and financial planning and analysis. Proven analytical depth and strong technical skills required, including current knowledge of generally accepted accounting principles. Experience with Vena, Planful or similar CPM software considered a plus. Proficiency with MS Office, including Excel (Pivot Table and V-Look ups) and PowerPoint required.
Strong ability to work under pressure and meet tight deadlines. Strong analytical problem-solving aptitude with creative solutions, ability to organize work with large amounts of information efficiently, manage multiple projects and deadlines simultaneously with attention to detail.
Communication
Ability to effectively and professionally communicate, both in writing and verbally, with management, vendors, consultants and other business partners. Ability to speak effectively in group settings.
06/16/2020
Full time
Responsibilities
REPORTING:
Become a super-user of the new CPM suite
Develop financial and management reports to meet the needs of the business. Continue to enhance reporting as requirements change
Maintain and distribute the various reporting package templates for ownership and management
Prepare ad hoc reports as required
PLANNING:
Create budgeting and forecasting models for the company using the CPM
Prepare forecasts as required by the company
Manage the annual budget process
ANALYSIS:
Review business performance and look for trends and other indicators to bring to management’s attention
Review the accuracy of data underpinning the reports, identify opportunities to improve data collection and accuracy
Analyze payroll and benefits trends, coordinate with Payroll and Human Resources to ensure accurate payroll reporting
OTHER:
Such other assignments as the company may require from time to time
Qualifications
To perform this job successfully, an individual must be able to perform each essential function satisfactorily. The requirements listed below are representative of the knowledge, skill, and/or ability required.
Education & Experience
Bachelor's degree in Accounting or Finance required, CPA preferred, together with 3-6 years of professional experience in accounting and financial planning and analysis. Proven analytical depth and strong technical skills required, including current knowledge of generally accepted accounting principles. Experience with Vena, Planful or similar CPM software considered a plus. Proficiency with MS Office, including Excel (Pivot Table and V-Look ups) and PowerPoint required.
Strong ability to work under pressure and meet tight deadlines. Strong analytical problem-solving aptitude with creative solutions, ability to organize work with large amounts of information efficiently, manage multiple projects and deadlines simultaneously with attention to detail.
Communication
Ability to effectively and professionally communicate, both in writing and verbally, with management, vendors, consultants and other business partners. Ability to speak effectively in group settings.
Are you a planner, innovator, thinker and a do-er who believes in contributing to something that makes difference? Do you take a“customer first” approach and add value through your own agility? The Finance Department is looking for a Corporate Finance Specialist. How you’ll make a difference Are you flexible, agile and looking to join a great team environment? In this role you will work closely with our Finance Director to provide financial reports and analyses while solving complex business problems. You will support our Financial analysts and business partners with strategic planning and execution in addition to developing analyses and presentations for the Finance Director and driving process improvement. You should be able to consolidate financial analysis to drive strategic insights, create and maintain our global budget and forecasting reports, monitor financial performance against companies strategic plan and develop presentations and reports as requested while managing the development of financial models. What you will bring to the role:
Bachelor’s Degree with a preference in a Finance discipline
CFA or MBA preferred
5+ years of professional work experience in Finance discipline; focus on Corporate Finance preferred
Experience in an agile and dynamic project focused environment with attention to detail
Deep experience in developing visualizations and related reporting for varied audiences, using a variety of tools and technologies (ex. Tableau)
Experience with MS Office required and expert understanding of finance systems (MS Dynamics preferred)
Basic understanding of finance business operations and industry solutions
Strong communication, collaboration and relationship building skills
Poise under pressure
Experience in dealing with sensitive, confidential materials and respect for same, with ability to maintain confidentiality of sensitive organization topics and issues
Work will extend beyond regular schedule at times. Must be flexible to support process and deliverables of the group.
What you’ll get
Through our certifications, professional development, communities and membership, we support more than three million people in nearly every country in the world. And we believe in supporting our employees, too. Join us and:
You’ll get an excellent total package, not just great pay . The benefits for this role include 100% paid medical, dental, vision and prescription coverage, up to 20 days’ paid days off a year to start (plus 10 paid holidays) and a 401(k) retirement savings program that matches your contribution (up to 7% of salary).
You’ll grow professionally. We’ll work with you to make the right development choices for your career. The skills you gain will help you to get the most out of your time with us, and make you more marketable in the future.
You’ll make an impact from day one. We’ll put you on stimulating projects, with people from diverse working backgrounds (and cultures, if the project's global). And if you have a bright idea, we’ll help you to develop it.
You’ll be part of a culture you can be proud of . We’re friendly and inclusive– it’s what makes us unique. So we’ll support and help you from the moment you join. And you'll do the same for us.
06/11/2020
Full time
Are you a planner, innovator, thinker and a do-er who believes in contributing to something that makes difference? Do you take a“customer first” approach and add value through your own agility? The Finance Department is looking for a Corporate Finance Specialist. How you’ll make a difference Are you flexible, agile and looking to join a great team environment? In this role you will work closely with our Finance Director to provide financial reports and analyses while solving complex business problems. You will support our Financial analysts and business partners with strategic planning and execution in addition to developing analyses and presentations for the Finance Director and driving process improvement. You should be able to consolidate financial analysis to drive strategic insights, create and maintain our global budget and forecasting reports, monitor financial performance against companies strategic plan and develop presentations and reports as requested while managing the development of financial models. What you will bring to the role:
Bachelor’s Degree with a preference in a Finance discipline
CFA or MBA preferred
5+ years of professional work experience in Finance discipline; focus on Corporate Finance preferred
Experience in an agile and dynamic project focused environment with attention to detail
Deep experience in developing visualizations and related reporting for varied audiences, using a variety of tools and technologies (ex. Tableau)
Experience with MS Office required and expert understanding of finance systems (MS Dynamics preferred)
Basic understanding of finance business operations and industry solutions
Strong communication, collaboration and relationship building skills
Poise under pressure
Experience in dealing with sensitive, confidential materials and respect for same, with ability to maintain confidentiality of sensitive organization topics and issues
Work will extend beyond regular schedule at times. Must be flexible to support process and deliverables of the group.
What you’ll get
Through our certifications, professional development, communities and membership, we support more than three million people in nearly every country in the world. And we believe in supporting our employees, too. Join us and:
You’ll get an excellent total package, not just great pay . The benefits for this role include 100% paid medical, dental, vision and prescription coverage, up to 20 days’ paid days off a year to start (plus 10 paid holidays) and a 401(k) retirement savings program that matches your contribution (up to 7% of salary).
You’ll grow professionally. We’ll work with you to make the right development choices for your career. The skills you gain will help you to get the most out of your time with us, and make you more marketable in the future.
You’ll make an impact from day one. We’ll put you on stimulating projects, with people from diverse working backgrounds (and cultures, if the project's global). And if you have a bright idea, we’ll help you to develop it.
You’ll be part of a culture you can be proud of . We’re friendly and inclusive– it’s what makes us unique. So we’ll support and help you from the moment you join. And you'll do the same for us.
LOCATION : West St. Paul, MN HOURS AVAILABLE : 40 hours/week, Monday - Friday 8am - 4:30pm JOB SUMMARY : As a Finance Specialist, you will perform a variety of tasks in support of the Finance Manager and Finance Director. In addition, the Finance Associate will complete other office tasks including high-volume data entry for billing, payroll, and various other financial duties. Please submit resume with application. $18.00/hour . QUALIFICATIONS :
Associates Degree in Business Administration, Accounting, or Finance required
2+ years of finance-related experience required
Basic Microsoft Suite knowledge required (Word, Excel, Outlook, etc.)
Must be proficient in 10-key
Capable of entering high volumes of data with minimal errors
Detail-oriented and a fast learner desired
Must be 18 years of age
Background clearance
Valid driver's license, acceptable driving record, and proof of auto insurance required
Ability to communicate in English, both written and verbally
06/11/2020
Full time
LOCATION : West St. Paul, MN HOURS AVAILABLE : 40 hours/week, Monday - Friday 8am - 4:30pm JOB SUMMARY : As a Finance Specialist, you will perform a variety of tasks in support of the Finance Manager and Finance Director. In addition, the Finance Associate will complete other office tasks including high-volume data entry for billing, payroll, and various other financial duties. Please submit resume with application. $18.00/hour . QUALIFICATIONS :
Associates Degree in Business Administration, Accounting, or Finance required
2+ years of finance-related experience required
Basic Microsoft Suite knowledge required (Word, Excel, Outlook, etc.)
Must be proficient in 10-key
Capable of entering high volumes of data with minimal errors
Detail-oriented and a fast learner desired
Must be 18 years of age
Background clearance
Valid driver's license, acceptable driving record, and proof of auto insurance required
Ability to communicate in English, both written and verbally
Responsibilities for the Vice President of Finance:
Be a core member of the senior management team
Track and improve benchmarks and reports for measuring the financial and operating performance
Monitor and analyze monthly operating results by product line
Oversee the accounting and HR departments including shared service center
Assure the accuracy of all financial reports
Coordinate the preparation of financial forecasts
Prepare financial analysis for contract negotiations and product line decisions
Ensure compliance with local, state, and federal financial and tax reporting requirements
Identify and drive efficiency improvements in sales, operations, logistics and finance
Drive and coordinate capital employed/working capital improvement projects
Identify potential savings and coordinate resulting projects
Coordinate and support internal audits
Bachelor’s Degree in Finance / Accounting / Business Administration CPA and Master’s degree a plus
10 years of progressive experience in a senior level finance or accounting position with demonstrated leadership skills
Manufacturing industry experience a plus
Knowledge of finance, accounting, budgeting, and cost accounting principles including Generally Accepted Accounting Principles
Deep understanding of automated financial and accounting reporting systems and business processes required; SAP a plus
Knowledge of federal and state tax regulations
Ability to analyze financial data and prepare financial reports, statements and projections
Working knowledge of short and long term budgeting and forecasting, rolling budgets, and product-line profitability analysis
06/11/2020
Full time
Responsibilities for the Vice President of Finance:
Be a core member of the senior management team
Track and improve benchmarks and reports for measuring the financial and operating performance
Monitor and analyze monthly operating results by product line
Oversee the accounting and HR departments including shared service center
Assure the accuracy of all financial reports
Coordinate the preparation of financial forecasts
Prepare financial analysis for contract negotiations and product line decisions
Ensure compliance with local, state, and federal financial and tax reporting requirements
Identify and drive efficiency improvements in sales, operations, logistics and finance
Drive and coordinate capital employed/working capital improvement projects
Identify potential savings and coordinate resulting projects
Coordinate and support internal audits
Bachelor’s Degree in Finance / Accounting / Business Administration CPA and Master’s degree a plus
10 years of progressive experience in a senior level finance or accounting position with demonstrated leadership skills
Manufacturing industry experience a plus
Knowledge of finance, accounting, budgeting, and cost accounting principles including Generally Accepted Accounting Principles
Deep understanding of automated financial and accounting reporting systems and business processes required; SAP a plus
Knowledge of federal and state tax regulations
Ability to analyze financial data and prepare financial reports, statements and projections
Working knowledge of short and long term budgeting and forecasting, rolling budgets, and product-line profitability analysis