Job Summary
Responsible for developing the organization's short- and long-term financial plans and identifying financial opportunities to improve the organization's profitability.
Ideal candidates would have prior experience with balance sheet reconciliation and cash flow forecasting. Qualified candidates selected to move forward in the process for this role will be given an Excel prompt to present cash flow model skills.
KNOWLEDGE/SKILLS/ABILITIES
JOB QUALIFICATIONS
Required Education
BA, BS, in Finance, Accounting, or related field
Required Experience
5-6 Years
Preferred Education
MBA
Preferred Experience
7+ Years