Director, Financial Planning & Analysis
Controller job at Cherry Bekaert
Director of Financial Planning & Analysis Our valued client, a reputable and fast-growing $4B+ global leader, is actively seeking a Director of Financial Planning & Analysis (FP&A) to build and lead the financial planning function for a new, high-growth business unit as well as develop and support FP&A teams at existing business units. Areas of focus will be financial strategy, scaling operations and driving data-informed decision-making during a period of rapid expansion and innovation.
The ideal candidate is a hands-on, strategic leader who thrives in a dynamic, growth-oriented environment and is passionate about building scalable FP&A processes and developing high-performing FP&A leaders.
This role is in-office four (4) days per week in the Cleveland suburbs. An onsite fitness center and daycare provider is available as a resource.
Opportunity Scope:
Lead FP&A function for a new, growing team; provide support to existing business units
Develop complex financial models and scenarios as inputs for business planning decisions in areas such as capital deployment, marketing investment, expense management and labor planning.
Lead periodic financial reviews, including variance and financial statement analysis; analyze and track business and financial drivers and evaluate implications on future performance.
Serve as a strategic advisor to the leadership team, providing financial insights to drive growth, profitability, and capital efficiency.
Provide data-driven recommendations to optimize resources, pricing and investment decisions.
Build scalable FP&A processes, tools, and systems to support forecasting, budgeting, and long-term planning.
Mentor, coach, and develop finance professionals through active coaching and structured development plans to strengthen analytical, communication, presentation, and leadership skills.
Champion a culture of continuous improvement and learning, encouraging innovation in financial modeling, reporting automation, and process design.
Drive collaboration across finance and the broader organization, promoting best practices and enhanced knowledge sharing.
Implement best-in-class FP&A practices and tools to streamline workflows, improve forecast accuracy, and enhance strategic insight delivery.
Serve as an objective financial steward with an enterprise perspective.
Preferred Requirements & Qualifications
Bring 10+ years of total corporate/business experience
Five or more (5+) years leading FP&A/financial analysis from reputable, top-tier companies
Experience with $1B+ companies strongly preferred
Experience with multiple business units is required
Strong understanding of financial planning, forecasting, and reporting processes.
Bring superior financial modeling skills and analytical abilities
Be able to help manage and motivate a growing team
Offer superior MS Excel strengths
Proficiency with Power BI is preferred
Should be able to demonstrate ERP knowledge and experience (e.g., SAP, Peoplesoft, Oracle etc.)
Must want and be able to help improve and strengthen an FP&A Team
Previous training within multiple business units, including early-stage or high-growth divisions.
Want to drive and influence a high-impact agenda with a diverse set of executives and constituents
Must be consistently driven, act positively and carry resilience
Find a way to reach success in routinely ambiguous situations
Must carry effective strategic thought and be highly analytical
Compensation, Benefits & Perks:
Competitive base salary + annual target bonus + incentives + relocation if needed
Medical/Dental/Vision, Retirement and Savings Plan, Short- and Long-Term Disability, Basic Life Insurance, Voluntary Life Insurance, Tuition Reimbursement, Paid Time Off, Company Outings, Dining Discounts, On-Site Fitness Center, On-Site Daycare and an On-Site Café.
IND123
Vice President Finance
Atlanta, GA jobs
Our company is building the next generation of specialty spine, neck and brain care, making it radically easier for patients, employers, providers, and payors to access high-quality, efficient care. The practice is undergoing an exciting period of growth and innovation. We're looking for a hands-on VP of Finance to own our finance and revenue cycle functions end-to-end and help scale our organization through its next phase of growth.
As our VP of Finance, you'll serve as a strategic business partner to the portfolio company's CEO and leadership team driving financial performance, operational efficiency, and scalable systems that enable both clinical and business excellence. You'll lead a growing team and be responsible for corporate finance, FP&A, accounting, and revenue cycle management across the enterprise.
This is a builder role: you'll architect the financial infrastructure, roll up your sleeves to execute, and iterate quickly based on data and insights.
What you'll own
You'll be responsible for building a world-class finance function that supports the company's mission, growth, and operational discipline.
1. Corporate Finance (80%)
Strategic Planning & FP&A
Lead all financial planning, budgeting, forecasting, and strategic modeling to support growth and new initiatives.
Partner with the CEO and leadership team to translate strategic objectives into actionable financial plans.
Accounting & Controls
Oversee all accounting operations, including monthly and annual close, audit readiness, and financial compliance.
Ensure accuracy, timeliness, and transparency across reporting processes.
Performance Measurement
Design and maintain executive KPI dashboards and internal reporting infrastructure.
Deliver clear financial insights and recommendations that drive decision-making.
Cash Flow & Capital Management
Manage banking relationships, credit facilities, cash flow forecasting, and capital allocation.
Evaluate investment and financing opportunities to optimize the company's capital structure.
Business Partnering
Provide strategic financial guidance on new service lines, M&A opportunities, and technology investments.
Support operational teams with data-driven insights to improve margins, productivity, and ROI.
2. Revenue Cycle Management (20%)
RCM Leadership
Oversee end-to-end revenue cycle operations, including documentation, coding, charge capture, and payer contracting.
Implement performance dashboards to monitor key RCM metrics (AR days, denial rates, collection efficiency).
Payer Relations & Contracting
Strengthen payer relationships to optimize reimbursement and reduce denials.
Negotiate contracts that align incentives and improve cash conversion cycles.
Compliance & Optimization
Partner with clinical leaders to ensure compliant, efficient billing processes.
Leverage AI and automation tools to streamline workflows, reduce manual work, and increase throughput.
What we're looking for
Must-have experience
5+ years in a finance leadership role within a small or high-growth organization; healthcare experience strongly preferred.
Proven track record of leading FP&A, accounting, and revenue cycle functions with full ownership of financial results.
Deep understanding of GAAP accounting, healthcare billing, and RCM operations.
Strong analytical and technical orientation, comfortable using automation, data analytics, and AI-driven tools.
Exceptional communicator able to translate financial data into actionable strategy for executives, clinicians, and investors.
Demonstrated ability to build scalable financial systems and deliver measurable impact.
Proven people leader with experience managing and developing cross-functional finance teams.
Academic excellence GPA 3.7+ from a top-tier university or equivalent achievement.
How you work
Hands-on: You're comfortable digging into models, reconciling accounts, and refining reports, whatever it takes to get to truth and clarity.
Owner mentality: You think in terms of enterprise value and long-term impact, not just monthly results.
Analytical & curious: You love finding insights in numbers and building the systems that make them visible.
Collaborative: You communicate clearly across clinical, operational, and executive teams to keep everyone aligned.
Low ego, high EQ: You balance rigor with empathy, driving results while building trust.
What we're offering
Base Salary: $200,000 - $250,000 per year, depending on experience and fit.
Upside: Participation in the company's stock option program (meaningful equity aligned with value creation).
Comprehensive benefits: Medical, dental, and vision coverage.
Retirement plan: 401(k) or equivalent with employer contribution/match.
Paid time off: Competitive vacation, sick leave, and holidays.
Professional development: Support for courses, certifications, and leadership programs relevant to finance and healthcare.
High-impact environment: Direct visibility from your work to patient outcomes, operational performance, and enterprise value creation across Cade's healthcare portfolio.
Project Controller
Columbus, OH jobs
Our client is seeking a highly detail-oriented and analytical Project Controller (Intermediate) to support financial tracking, project reporting, vendor management, and ongoing cost/resource planning for technology initiatives. This role will partner closely with Project Leadership to maintain accurate project financials, reconcile budgets, coordinate purchase orders, monitor vendor spend, and ensure compliance with IT Capital Policy.
The ideal candidate has experience in project financial management, project controls, or PMO operations-particularly within IT, engineering, or enterprise environments. Strong attention to detail, problem-solving skills, and proficiency in financial reconciliation are essential.
This role is fully onsite in Columbus, OH.
Key Responsibilities
Set up and maintain ongoing updates to Project Resource and Cost Plans in ServiceNow based on direction from Project Leadership.
Develop and maintain Present Estimates (PEs) from resource and cost plans.
Manage the monthly Present Estimate cycle, ensuring accuracy and timely submission.
Reconcile Budget vs. Actuals and report variances to leadership.
Assist in the creation of Project Change Requests (PCRs) and support associated reporting.
Create vendor Purchase Orders (POs) based on Statement of Work (SOW) details.
Track project costs to ensure alignment with IT Capital Policy.
Track and maintain vendor contracts, SOWs, POs, invoices, and accruals.
Track project-related accruals including software, services, and related expenses.
Reconcile resource plans to internal timecards and vendor invoices for external resources.
Approve vendor invoices based on SOW terms and reconciliation of time reporting.
Support project leadership with ad-hoc financial reports, documentation, and data entry.
Experience & Qualifications
Experience in project controls, project coordination, finance operations, or PMO support.
Proficiency with budgeting, forecasting, and financial reconciliation processes.
Strong analytical and spreadsheet skills (Excel or equivalent).
Experience with ServiceNow or similar project/financial management systems preferred.
Highly organized with the ability to manage multiple priorities and deadlines.
Strong written and verbal communication skills.
Experience working with vendors, reviewing SOWs, and processing POs.
Familiarity with IT project environments and capital/expense cost tracking is a plus.
Key Skills & Attributes
High attention to detail and accuracy
Strong sense of ownership and accountability
Clear, concise communicator
Proactive and resourceful problem solver
Ability to work independently and manage shifting priorities
Financially minded with strong analytical abilities
Comfortable partnering with cross-functional teams
Finance Manager (mostly remote, must live in Miami area)
Tallahassee, FL jobs
Korn Ferry has partnered with our client on their search for the role, Finance Manager (mostly remote, must live in Miami area).
The Finance Manager will support the Sr. Director of Finance in establishing, implementing, and managing the company's finance function. This role will be responsible for operational finance execution, cost accounting, market facing operating expenses, and retail/market-facing analysis. In addition, this role will serve as a Business Partner to the Market President.
The Finance Manager will supervise financial staff and work cross-functionally with manufacturing, supply chain, and retail leadership to ensure financial strategies are implemented effectively. This role requires strong expertise in manufacturing finance, retail analytics, and building reporting processes that measure KPIs and profitability drivers across the full sale cycle.
________________________________________
Essential Duties and Responsibilities
Finance Function Support & Leadership
Assist the Sr. Director of Finance in setting up the finance department, including processes, tools, and reporting infrastructure.
Ensure timely and accurate execution of financial close, reporting, and compliance processes.
Financial Planning & Analysis (FP&A)
Lead the preparation of budgets, forecasts, and variance analyses.
Deliver insights into market facing operating expenses (OPEX) and profitability trends across manufacturing and retail.
Partner with the Sr. Director to develop financial models and business cases for strategic initiatives.
Cost Accounting & Manufacturing Support
Manage product costing, inventory valuation, and manufacturing variance reporting.
Partner with operations to identify efficiency opportunities and control production costs.
Monitor and report on inventory obsolescence and working capital impacts.
Retail & Market-Facing Finance
Partner with retail and sales leadership to evaluate store-level performance, pricing, promotions, and consumer activity.
Ensure financial strategies developed by leadership are implemented across retail channels.
Track and report on key retail performance drivers, including seasonality, product leaders, and loss leaders.
KPI Execution & Analytics
Implement and monitor KPIs defined by the Sr. Director of Finance & Massachusetts Market President
Develop and maintain dashboards and reporting packages to ensure accurate tracking of financial and operational metrics.
Ensure data-driven insights are integrated into decision-making at the retail and operational level.
________________________________________
Qualifications
Education: Bachelor's degree in finance, Accounting, or related field required
Experience
6+ years of finance experience, including FP&A roles in manufacturing and retail/consumer goods.
Proven ability to lead teams and supervise staff.
Experience implementing and monitoring KPIs and Financial dashboards.
Technical Skills
Proficiency with ERP systems (SAP, Sage, JD Edwards, NetSuite, or equivalent).
Advanced Excel and financial modeling skills.
Familiarity with BI and analytics tools (Power BI, Tableau).
SE: 510768795
Finance Manager (mostly remote, must live in Miami area)
Hialeah, FL jobs
Korn Ferry has partnered with our client on their search for the role, Finance Manager (mostly remote, must live in Miami area).
The Finance Manager will support the Sr. Director of Finance in establishing, implementing, and managing the company's finance function. This role will be responsible for operational finance execution, cost accounting, market facing operating expenses, and retail/market-facing analysis. In addition, this role will serve as a Business Partner to the Market President.
The Finance Manager will supervise financial staff and work cross-functionally with manufacturing, supply chain, and retail leadership to ensure financial strategies are implemented effectively. This role requires strong expertise in manufacturing finance, retail analytics, and building reporting processes that measure KPIs and profitability drivers across the full sale cycle.
________________________________________
Essential Duties and Responsibilities
Finance Function Support & Leadership
Assist the Sr. Director of Finance in setting up the finance department, including processes, tools, and reporting infrastructure.
Ensure timely and accurate execution of financial close, reporting, and compliance processes.
Financial Planning & Analysis (FP&A)
Lead the preparation of budgets, forecasts, and variance analyses.
Deliver insights into market facing operating expenses (OPEX) and profitability trends across manufacturing and retail.
Partner with the Sr. Director to develop financial models and business cases for strategic initiatives.
Cost Accounting & Manufacturing Support
Manage product costing, inventory valuation, and manufacturing variance reporting.
Partner with operations to identify efficiency opportunities and control production costs.
Monitor and report on inventory obsolescence and working capital impacts.
Retail & Market-Facing Finance
Partner with retail and sales leadership to evaluate store-level performance, pricing, promotions, and consumer activity.
Ensure financial strategies developed by leadership are implemented across retail channels.
Track and report on key retail performance drivers, including seasonality, product leaders, and loss leaders.
KPI Execution & Analytics
Implement and monitor KPIs defined by the Sr. Director of Finance & Massachusetts Market President
Develop and maintain dashboards and reporting packages to ensure accurate tracking of financial and operational metrics.
Ensure data-driven insights are integrated into decision-making at the retail and operational level.
________________________________________
Qualifications
Education: Bachelor's degree in finance, Accounting, or related field required
Experience
6+ years of finance experience, including FP&A roles in manufacturing and retail/consumer goods.
Proven ability to lead teams and supervise staff.
Experience implementing and monitoring KPIs and Financial dashboards.
Technical Skills
Proficiency with ERP systems (SAP, Sage, JD Edwards, NetSuite, or equivalent).
Advanced Excel and financial modeling skills.
Familiarity with BI and analytics tools (Power BI, Tableau).
SE: 510768795
Finance Manager (mostly remote, must live in Miami area)
Orlando, FL jobs
Korn Ferry has partnered with our client on their search for the role, Finance Manager (mostly remote, must live in Miami area).
The Finance Manager will support the Sr. Director of Finance in establishing, implementing, and managing the company's finance function. This role will be responsible for operational finance execution, cost accounting, market facing operating expenses, and retail/market-facing analysis. In addition, this role will serve as a Business Partner to the Market President.
The Finance Manager will supervise financial staff and work cross-functionally with manufacturing, supply chain, and retail leadership to ensure financial strategies are implemented effectively. This role requires strong expertise in manufacturing finance, retail analytics, and building reporting processes that measure KPIs and profitability drivers across the full sale cycle.
________________________________________
Essential Duties and Responsibilities
Finance Function Support & Leadership
Assist the Sr. Director of Finance in setting up the finance department, including processes, tools, and reporting infrastructure.
Ensure timely and accurate execution of financial close, reporting, and compliance processes.
Financial Planning & Analysis (FP&A)
Lead the preparation of budgets, forecasts, and variance analyses.
Deliver insights into market facing operating expenses (OPEX) and profitability trends across manufacturing and retail.
Partner with the Sr. Director to develop financial models and business cases for strategic initiatives.
Cost Accounting & Manufacturing Support
Manage product costing, inventory valuation, and manufacturing variance reporting.
Partner with operations to identify efficiency opportunities and control production costs.
Monitor and report on inventory obsolescence and working capital impacts.
Retail & Market-Facing Finance
Partner with retail and sales leadership to evaluate store-level performance, pricing, promotions, and consumer activity.
Ensure financial strategies developed by leadership are implemented across retail channels.
Track and report on key retail performance drivers, including seasonality, product leaders, and loss leaders.
KPI Execution & Analytics
Implement and monitor KPIs defined by the Sr. Director of Finance & Massachusetts Market President
Develop and maintain dashboards and reporting packages to ensure accurate tracking of financial and operational metrics.
Ensure data-driven insights are integrated into decision-making at the retail and operational level.
________________________________________
Qualifications
Education: Bachelor's degree in finance, Accounting, or related field required
Experience
6+ years of finance experience, including FP&A roles in manufacturing and retail/consumer goods.
Proven ability to lead teams and supervise staff.
Experience implementing and monitoring KPIs and Financial dashboards.
Technical Skills
Proficiency with ERP systems (SAP, Sage, JD Edwards, NetSuite, or equivalent).
Advanced Excel and financial modeling skills.
Familiarity with BI and analytics tools (Power BI, Tableau).
SE: 510768795
Finance Manager (mostly remote, must live in Miami area)
Miami, FL jobs
Korn Ferry has partnered with our client on their search for the role, Finance Manager (mostly remote, must live in Miami area).
The Finance Manager will support the Sr. Director of Finance in establishing, implementing, and managing the company's finance function. This role will be responsible for operational finance execution, cost accounting, market facing operating expenses, and retail/market-facing analysis. In addition, this role will serve as a Business Partner to the Market President.
The Finance Manager will supervise financial staff and work cross-functionally with manufacturing, supply chain, and retail leadership to ensure financial strategies are implemented effectively. This role requires strong expertise in manufacturing finance, retail analytics, and building reporting processes that measure KPIs and profitability drivers across the full sale cycle.
________________________________________
Essential Duties and Responsibilities
Finance Function Support & Leadership
Assist the Sr. Director of Finance in setting up the finance department, including processes, tools, and reporting infrastructure.
Ensure timely and accurate execution of financial close, reporting, and compliance processes.
Financial Planning & Analysis (FP&A)
Lead the preparation of budgets, forecasts, and variance analyses.
Deliver insights into market facing operating expenses (OPEX) and profitability trends across manufacturing and retail.
Partner with the Sr. Director to develop financial models and business cases for strategic initiatives.
Cost Accounting & Manufacturing Support
Manage product costing, inventory valuation, and manufacturing variance reporting.
Partner with operations to identify efficiency opportunities and control production costs.
Monitor and report on inventory obsolescence and working capital impacts.
Retail & Market-Facing Finance
Partner with retail and sales leadership to evaluate store-level performance, pricing, promotions, and consumer activity.
Ensure financial strategies developed by leadership are implemented across retail channels.
Track and report on key retail performance drivers, including seasonality, product leaders, and loss leaders.
KPI Execution & Analytics
Implement and monitor KPIs defined by the Sr. Director of Finance & Massachusetts Market President
Develop and maintain dashboards and reporting packages to ensure accurate tracking of financial and operational metrics.
Ensure data-driven insights are integrated into decision-making at the retail and operational level.
________________________________________
Qualifications
Education: Bachelor's degree in finance, Accounting, or related field required
Experience
6+ years of finance experience, including FP&A roles in manufacturing and retail/consumer goods.
Proven ability to lead teams and supervise staff.
Experience implementing and monitoring KPIs and Financial dashboards.
Technical Skills
Proficiency with ERP systems (SAP, Sage, JD Edwards, NetSuite, or equivalent).
Advanced Excel and financial modeling skills.
Familiarity with BI and analytics tools (Power BI, Tableau).
SE: 510768795
Finance Manager
Hudson, NY jobs
We are located in Hudson, NY and we are a widely-known healthcare company that has been serving the area for over 50 years! We have a collective goal/initiative to improve healthcare and genuinely enjoy the work we do. We also have an excellent benefits package and pride ourselves in a great work-life balance.
Position Overview
The Finance Manager will oversee the financial operations of the organization, ensuring the integrity of financial reporting and compliance with regulations. This role involves managing financial planning, budgeting, and forecasting, while also providing strategic guidance to optimize financial performance in the healthcare sector.
Key Responsibilities
Develop and manage the annual budget process, including revenue projections and expense management.
Prepare and present financial reports to senior management and stakeholders, ensuring accuracy and compliance with healthcare regulations.
Monitor and analyze financial performance, identifying trends and providing actionable insights to improve financial health.
Manage accounts receivable and accounts payable processes to ensure timely collection of payments and accurate payment processing.
Collaborate with department heads to develop and implement effective financial strategies and capital budget plans.
Ensure compliance with Medicare and other regulatory financial requirements, including the preparation of cost reports.
Lead financial audits and liaise with external auditors to ensure compliance and transparency.
Qualifications
Bachelor's degree in Finance, Accounting, or related field; Master's degree or CPA is a plus.
Minimum of 5 years of experience in financial management, preferably within the healthcare sector.
Strong understanding of financial reporting, budgeting, and forecasting in a healthcare environment.
Proficiency in financial software and systems, experience with Meditech is a plus.
Excellent analytical skills with the ability to interpret complex financial data and trends.
Strong communication and leadership skills, capable of working with cross-functional teams.
Benefits
Medical
Dental
Vision
401k
PTO
Email Your Resume In Word To
Looking forward to receiving your resume through our website and going over the position with you. Clicking apply is the best way to apply, but you may also:
matt.bailey@cybercoders.com
Please do NOT change the email subject line in any way. You must keep the JobID: linkedin : MB6-1854757 -- in the email subject line for your application to be considered.***
Matt Bailey - Manager of Client Development
For this position, you must be currently authorized to work in the United States without the need for sponsorship for a non-immigrant visa.
This job was first posted by CyberCoders on 05/30/2025 and applications will be accepted on an ongoing basis until the position is filled or closed.
CyberCoders is proud to be an Equal Opportunity Employer
All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, age, sexual orientation, gender identity or expression, national origin, ancestry, citizenship, genetic information, registered domestic partner status, marital status, status as a crime victim, disability, protected veteran status, or any other characteristic protected by law. CyberCoders will consider qualified applicants with criminal histories in a manner consistent with the requirements of applicable state and local law, including but not limited to the Los Angeles County Fair Chance Ordinance, the San Francisco Fair Chance Ordinance, and the California Fair Chance Act. CyberCoders is committed to working with and providing reasonable accommodation to individuals with physical and mental disabilities. Individuals needing special assistance or an accommodation while seeking employment can contact a member of our Human Resources team at Benefits@CyberCoders.com to make arrangements.
Finance Manager (mostly remote, must live in Miami area)
Saint Petersburg, FL jobs
Korn Ferry has partnered with our client on their search for the role, Finance Manager (mostly remote, must live in Miami area).
The Finance Manager will support the Sr. Director of Finance in establishing, implementing, and managing the company's finance function. This role will be responsible for operational finance execution, cost accounting, market facing operating expenses, and retail/market-facing analysis. In addition, this role will serve as a Business Partner to the Market President.
The Finance Manager will supervise financial staff and work cross-functionally with manufacturing, supply chain, and retail leadership to ensure financial strategies are implemented effectively. This role requires strong expertise in manufacturing finance, retail analytics, and building reporting processes that measure KPIs and profitability drivers across the full sale cycle.
________________________________________
Essential Duties and Responsibilities
Finance Function Support & Leadership
Assist the Sr. Director of Finance in setting up the finance department, including processes, tools, and reporting infrastructure.
Ensure timely and accurate execution of financial close, reporting, and compliance processes.
Financial Planning & Analysis (FP&A)
Lead the preparation of budgets, forecasts, and variance analyses.
Deliver insights into market facing operating expenses (OPEX) and profitability trends across manufacturing and retail.
Partner with the Sr. Director to develop financial models and business cases for strategic initiatives.
Cost Accounting & Manufacturing Support
Manage product costing, inventory valuation, and manufacturing variance reporting.
Partner with operations to identify efficiency opportunities and control production costs.
Monitor and report on inventory obsolescence and working capital impacts.
Retail & Market-Facing Finance
Partner with retail and sales leadership to evaluate store-level performance, pricing, promotions, and consumer activity.
Ensure financial strategies developed by leadership are implemented across retail channels.
Track and report on key retail performance drivers, including seasonality, product leaders, and loss leaders.
KPI Execution & Analytics
Implement and monitor KPIs defined by the Sr. Director of Finance & Massachusetts Market President
Develop and maintain dashboards and reporting packages to ensure accurate tracking of financial and operational metrics.
Ensure data-driven insights are integrated into decision-making at the retail and operational level.
________________________________________
Qualifications
Education: Bachelor's degree in finance, Accounting, or related field required
Experience
6+ years of finance experience, including FP&A roles in manufacturing and retail/consumer goods.
Proven ability to lead teams and supervise staff.
Experience implementing and monitoring KPIs and Financial dashboards.
Technical Skills
Proficiency with ERP systems (SAP, Sage, JD Edwards, NetSuite, or equivalent).
Advanced Excel and financial modeling skills.
Familiarity with BI and analytics tools (Power BI, Tableau).
SE: 510768795
Finance Manager (mostly remote, must live in Miami area)
Cape Coral, FL jobs
Korn Ferry has partnered with our client on their search for the role, Finance Manager (mostly remote, must live in Miami area).
The Finance Manager will support the Sr. Director of Finance in establishing, implementing, and managing the company's finance function. This role will be responsible for operational finance execution, cost accounting, market facing operating expenses, and retail/market-facing analysis. In addition, this role will serve as a Business Partner to the Market President.
The Finance Manager will supervise financial staff and work cross-functionally with manufacturing, supply chain, and retail leadership to ensure financial strategies are implemented effectively. This role requires strong expertise in manufacturing finance, retail analytics, and building reporting processes that measure KPIs and profitability drivers across the full sale cycle.
________________________________________
Essential Duties and Responsibilities
Finance Function Support & Leadership
Assist the Sr. Director of Finance in setting up the finance department, including processes, tools, and reporting infrastructure.
Ensure timely and accurate execution of financial close, reporting, and compliance processes.
Financial Planning & Analysis (FP&A)
Lead the preparation of budgets, forecasts, and variance analyses.
Deliver insights into market facing operating expenses (OPEX) and profitability trends across manufacturing and retail.
Partner with the Sr. Director to develop financial models and business cases for strategic initiatives.
Cost Accounting & Manufacturing Support
Manage product costing, inventory valuation, and manufacturing variance reporting.
Partner with operations to identify efficiency opportunities and control production costs.
Monitor and report on inventory obsolescence and working capital impacts.
Retail & Market-Facing Finance
Partner with retail and sales leadership to evaluate store-level performance, pricing, promotions, and consumer activity.
Ensure financial strategies developed by leadership are implemented across retail channels.
Track and report on key retail performance drivers, including seasonality, product leaders, and loss leaders.
KPI Execution & Analytics
Implement and monitor KPIs defined by the Sr. Director of Finance & Massachusetts Market President
Develop and maintain dashboards and reporting packages to ensure accurate tracking of financial and operational metrics.
Ensure data-driven insights are integrated into decision-making at the retail and operational level.
________________________________________
Qualifications
Education: Bachelor's degree in finance, Accounting, or related field required
Experience
6+ years of finance experience, including FP&A roles in manufacturing and retail/consumer goods.
Proven ability to lead teams and supervise staff.
Experience implementing and monitoring KPIs and Financial dashboards.
Technical Skills
Proficiency with ERP systems (SAP, Sage, JD Edwards, NetSuite, or equivalent).
Advanced Excel and financial modeling skills.
Familiarity with BI and analytics tools (Power BI, Tableau).
SE: 510768795
Finance Manager (mostly remote, must live in Miami area)
Fort Lauderdale, FL jobs
Korn Ferry has partnered with our client on their search for the role, Finance Manager (mostly remote, must live in Miami area).
The Finance Manager will support the Sr. Director of Finance in establishing, implementing, and managing the company's finance function. This role will be responsible for operational finance execution, cost accounting, market facing operating expenses, and retail/market-facing analysis. In addition, this role will serve as a Business Partner to the Market President.
The Finance Manager will supervise financial staff and work cross-functionally with manufacturing, supply chain, and retail leadership to ensure financial strategies are implemented effectively. This role requires strong expertise in manufacturing finance, retail analytics, and building reporting processes that measure KPIs and profitability drivers across the full sale cycle.
________________________________________
Essential Duties and Responsibilities
Finance Function Support & Leadership
Assist the Sr. Director of Finance in setting up the finance department, including processes, tools, and reporting infrastructure.
Ensure timely and accurate execution of financial close, reporting, and compliance processes.
Financial Planning & Analysis (FP&A)
Lead the preparation of budgets, forecasts, and variance analyses.
Deliver insights into market facing operating expenses (OPEX) and profitability trends across manufacturing and retail.
Partner with the Sr. Director to develop financial models and business cases for strategic initiatives.
Cost Accounting & Manufacturing Support
Manage product costing, inventory valuation, and manufacturing variance reporting.
Partner with operations to identify efficiency opportunities and control production costs.
Monitor and report on inventory obsolescence and working capital impacts.
Retail & Market-Facing Finance
Partner with retail and sales leadership to evaluate store-level performance, pricing, promotions, and consumer activity.
Ensure financial strategies developed by leadership are implemented across retail channels.
Track and report on key retail performance drivers, including seasonality, product leaders, and loss leaders.
KPI Execution & Analytics
Implement and monitor KPIs defined by the Sr. Director of Finance & Massachusetts Market President
Develop and maintain dashboards and reporting packages to ensure accurate tracking of financial and operational metrics.
Ensure data-driven insights are integrated into decision-making at the retail and operational level.
________________________________________
Qualifications
Education: Bachelor's degree in finance, Accounting, or related field required
Experience
6+ years of finance experience, including FP&A roles in manufacturing and retail/consumer goods.
Proven ability to lead teams and supervise staff.
Experience implementing and monitoring KPIs and Financial dashboards.
Technical Skills
Proficiency with ERP systems (SAP, Sage, JD Edwards, NetSuite, or equivalent).
Advanced Excel and financial modeling skills.
Familiarity with BI and analytics tools (Power BI, Tableau).
SE: 510768795
Senior Finance Manager
Atlanta, GA jobs
We're looking for a Senior Manager, Corporate Finance to lead capital and liquidity management, elevate long-term strategic planning, and serve as a trusted partner to our lending institutions. This high-impact role partners daily with accounting, treasury, analytics, and merchandising-helping guide financial decisions that shape the future of the business.
What You'll Do:
• Build and manage advanced financial models (3-statement, multi-year, weekly cash flow)
• Oversee liquidity planning in partnership with Treasury
• Own all lending partner deliverables, including borrowing base submissions and compliance reporting
• Collaborate cross-functionally to produce accurate, timely reporting and analysis
• Present financial and operational insights to both internal and external stakeholders
• Apply rigorous quantitative and qualitative analysis to drive recommendations and decision-making
Requirements:
• Deep expertise in capital structure and liquidity management
Consulting or restructuring experience
• Advanced modeling + strong Excel/PowerPoint skills
• Strong understanding of credit facilities and debt instruments
• Exceptional communication, accuracy, and attention to detail
• Ability to collaborate across teams and manage external relationships
• Bachelor's in Finance/Accounting + 7 years of relevant experience (2+ years leadership preferred)
Bonus Points:
• • PE-backed environment exposure
• MBA
• Experience with Anaplan, Power BI, SQL
If you're ready to take on a visible, strategic role with room to grow-we'd love to connect.
Finance Manager
Dobbs Ferry, NY jobs
Korn Ferry has partnered with a growing multi-specialty medical practice dedicated to delivering high-quality, patient-centered care across a variety of clinical disciplines. We are seeking an experienced and detail-oriented Finance Manager to join our leadership team and support the continued expansion and operational excellence of our organization.
Position Summary
The Finance Manager oversees the financial health, planning, and reporting of the practice. This role is responsible for budgeting, forecasting, revenue cycle analysis, financial compliance, and supporting strategic decision-making for a complex clinical environment. The ideal candidate has strong healthcare finance experience, understands multi-specialty operations, and is comfortable working in a hybrid (remote + on-site) capacity.
Key Responsibilities
Financial Planning & Analysis
Develop, manage, and monitor annual budgets, forecasts, and long-range financial plans.
Prepare monthly, quarterly, and annual financial statements and variance analyses.
Conduct financial modeling to support strategic initiatives, service line expansion, and capital investments.
Revenue Cycle & Operations
Partner with billing/coding teams to evaluate charge capture, reimbursement trends, denials, and AR performance.
Identify opportunities to optimize revenue cycle processes across specialties.
Monitor payer contracts and reimbursement changes impacting financial performance.
Accounting & Compliance
Oversee general ledger, month-end close, and reconciliation activities.
Ensure compliance with GAAP, federal and state healthcare regulations, and internal policies.
Coordinate with external auditors, tax preparers, and financial institutions.
Leadership & Collaboration
Provide financial insights to the executive team, physicians, and department leaders.
Support development of performance dashboards and KPIs across service lines.
Supervise finance staff and help build a culture of accuracy, accountability, and continuous improvement.
Technology & Reporting
Utilize EMR, practice management, and financial software to gather and analyze data.
Improve reporting systems to enhance transparency, efficiency, and operational decision-making.
Support implementation of new systems and tools as needed.
Qualifications
Required:
Bachelor's degree in Finance, Accounting, Business Administration, or related field.
5+ years of finance or accounting experience
Excellent analytical, communication, and problem-solving skills.
Work Environment & Schedule
Hybrid work arrangement: combination of on-site presence for meetings, audits, and operational oversight; remote days for analysis and reporting tasks.
Ability to work in a fast-paced, multi-disciplinary clinical environment.
Director of Patient Financial Services - 243254
Camden, NJ jobs
💼 Revenue Cycle Manager - Hospital Billing
📍 Camden, NJ | 💻 Hybrid (3 days in-office, 2 remote after initial 3 months)
💰 Salary: $135k - $180k
Are you a seasoned Revenue Cycle professional ready to lead hospital billing operations at a large Level 1 Trauma Center? We're seeking a Revenue Cycle Manager to oversee and optimize all aspects of the patient revenue cycle, driving financial performance, accuracy, and compliance.
There is also a Director of Cash Applications open at this same company!
What You'll Do:
🏥 Lead daily hospital billing operations for an 80-FTE team, ensuring efficiency across billing, insurance follow-up, customer service, and charity care financial screening.
📊 Set and achieve key performance targets such as days in AR, denial rates, net revenue, and cash collections.
🔍 Continuously improve revenue cycle processes through audits, quality initiatives, and policy updates.
⚖️ Monitor regulatory and payer changes, implementing updates to ensure HIPAA and Medicare compliance.
💡 Utilize Epic (or equivalent EHR/billing systems) to generate reports, identify trends, and support strategic business decisions.
📈 Oversee financial forecasting, budgeting, variance analysis, and AR reserve strategies.
🌐 Eventually expand oversight to include a 240-bed community hospital (Cape Regional).
What We're Looking For:
🎓 Bachelor's degree required
🏆 Leadership experience managing large teams
💻 EPIC experience
📈 Strong financial acumen and operational expertise
Nice to Have:
Excellent communication, problem-solving, and team-building skills
Why You'll Love It:
Lead a critical function at a 650-bed Level 1 Trauma Center
Hybrid work flexibility after onboarding
Competitive salary and opportunity to make a measurable impact
Financial Systems Manager
New York, NY jobs
FGS Global is seeking a Financial Systems Manager specializing in NetSuite to support our global technology and finance operations on our Global Technology team. This position is based in our New York City office on an in-person hybrid schedule.
RESPONSIBILITIES
Proven financial and technical NetSuite expert with experience involving cross-functional teams and strategizing enterprise-wide FinTech integrations and configurations.
Participate and lead in system design and conduct requirements gathering, together with the related functional Accounting and Finance teams.
Key person responsible for global Financial Systems support, system configuration expertise, and key report development in the financial and project accounting suites of NetSuite product applications.
Provide day-to-day support for NetSuite users across Finance, Operations, and Project Management teams.
Help to implement new subsidiaries and companies within NetSuite.
Manage data migration efforts, including data conversion and CSV imports.
Support and administer user training and support documentation.
Work closely with project and functional managers to ensure completion of tasks and achievement of key milestones.
Prepare custom reports, assist with trouble-shooting and maintain ongoing contact with NetSuite post go live.
ATTRIBUTES
Bachelor's degree in Information Systems, Accounting, Finance, or related field.
3+ years of NetSuite administration experience required, preferably in a services-based organization.
8+ years of professional experience within the Finance technology space.
Knowledge of NetSuite System Administration. Certification encouraged.
Strong understanding of NetSuite's Project Management, Advanced Billing, and Advanced Revenue Recognition (ARM) modules.
Experience within a global operation, including setting up and using multi-book, and multi-currency operations.
An individual who is confident, self-motivated and a team player.
Experience in developing effective working relationships with all levels of management.
Good time management skills with the ability to balance competing and conflicting timescales.
An independent problem solver with focus on providing solutions to business issues.
Excellent communication and influencing skills.
New York salary range: $130,000-$165,000
FGS Global is the world's leading stakeholder strategy firm, with approximately 1,400 professionals around the world, advising clients in navigating critical issues and reputational challenges. FGS was formed from the combination of Finsbury, The Glover Park Group, Hering Schuppener and Sard Verbinnen & Co to offer board-level and C-suite counsel in all aspects of stakeholder strategy - including corporate reputation, crisis management, and public affairs and is also the leading force in transaction and financial communications worldwide.
FGS offers seamless and integrated support with offices in the following locations: Abu Dhabi, Amsterdam, Beijing, Berlin, Boston, Brussels, Calgary, Chicago, Dubai, Dublin, Düsseldorf, Frankfurt, Hong Kong, Houston, Kingston, London, Los Angeles, Munich, Paris, Riyadh, San Francisco, Shanghai, Singapore, South Florida, The Hague, Tokyo, Toronto, Vancouver, Washington, D.C., and Zurich. The firm is headquartered in New York.
FGS Global is an equal opportunity employer and seeks qualified candidates regardless of race, religion, gender, sexual orientation, disability, national origin, or age.
Financial Analyst
Norwalk, OH jobs
***LOCAL CANDIDATES ONLY***
Job Title: Financial Analyst (FP&A)
Employment Type: Contract-to-Hire at a full time schedule of 40+ hours per week.
Pay: $30-35/hour W2
About the Role:
Our client, a well known healthcare organization, is seeking a detail-oriented and proactive Financial Analyst (FP&A) to join the team in Norwalk, OH. This role is responsible for supporting financial planning and analysis initiatives, including budgeting, forecasting, variance analysis, and operational performance improvement. The Financial Analyst will collaborate with leaders across the organization to provide insights and support strategic decision-making.
Key Responsibilities:
Develop monthly, quarterly, and annual financial forecasts using historical trends and operational data.
Prepare detailed variance analyses comparing actuals to budget/forecast and communicate key drivers to leadership.
Build and maintain financial models to support scenario planning and operational decision-making.
Partner with department leaders to identify financial risks, opportunities, and cost-saving initiatives.
Consolidate and interpret financial results across departments for reporting packages.
Support long-range planning by evaluating key business assumptions and market trends.
Monitor KPIs and operational metrics, translating them into actionable insights for leadership.
Assist with ad hoc financial analysis to support investment decisions, resource allocation, and performance improvement efforts.
Qualifications:
Bachelor's degree in Finance or Accounting required; Master's preferred.
3+ years of FP&A or financial analysis experience.
Strong experience with variance analysis, budgeting, and financial forecasting.
Ability to extract, interpret, and present financial data clearly to non-financial stakeholders.
Excellent analytical, organizational, and communication skills.
Why Join:
Hybrid work schedule with flexibility to work remotely.
Opportunity to partner with cross-functional leadership and drive impact on financial performance.
Collaborative and fast-paced environment where your insights will influence key decisions.
Quality Assurance Document Controller
Durham, NC jobs
QA Document Controller
Duration: 18 month contract with probability of extensions or conversion
Schedule: M-F, 8-5 plus adhoc off hours / weekend support per business needs
Description:
The Document Controller supports document management for the issuance, distribution, reconciliation, labeling, and filing of GMP documentation for the Client Library Site. This role ensures compliance with Client GMP document requirements and supports the full scope of Library Support Services as defined by site management.
Key Responsibilities:
Record Management
Maintain Client Library Site document inventory control through the Record Manager (LRM) system in accordance with applicable SOPs.
Ensure accurate control and tracking of all GMP documents.
Document Control
Perform document control activities for all Client Site documents and records maintained in Client's Veeva Quality Docs Electronic Data Management System (EDMS).
Training
Complete all required Client training and maintain compliance with documentation and records management procedures.
Route & Distribute Documents
Assist with routing, updating, and approval of electronic documents according to applicable SOPs and Client personnel requirements.
Veeva Workflow Oversight
Manage and monitor assigned Veeva Vault Quality Docs workflows daily.
Review Documents & Update Metadata
Meet with internal personnel as needed to review documents and update Veeva Quality Docs metadata when adding documents into the system.
Records Retention
Manage retention of GMP records in accordance with document type, record class codes, and Client retention policies.
Prepare and manage shipment of records to off-site storage for long-term retention when required.
Reconciliation
Facilitate the reconciliation process for executable electronic and paper records according to applicable SOPs.
Maintain Signature Logs
Oversee and complete annual department signature logs.
Logbook Creation & Issuance
Bind, issue, and maintain physical logbooks; support reconciliation of paper logbooks per SOP requirements.
Labeling & Coding
Label and code files for storage in on-site Documentation Centers.
Audit Support
Support internal and external audits by providing readily accessible records.
Assist with additional staffing or extended hours if requested in relation to audits, in alignment with Work Order terms.
Site Self-Inspection Support
Support self-inspections by ensuring documentation and records are compliant and accessible within Veeva Vault EDMS.
Document Periodic Reviews
Monitor and conduct periodic document reviews per SOPs and management direction.
Library Document Support
Work closely with Quality, Learning and Development, and other site business areas to capture and support document needs.
Periodically update documents in accordance with applicable SOPs.
Issue Escalation
Escalate issues to contractor leads or Client management as appropriate.
SOP Compliance
Follow all applicable Client GMP Standard Operating Procedures and report any compliance concerns in a timely manner.
Qualifications
BA/BS degree or equivalent experience
1-3 years of relevant experience in the pharmaceutical/biopharmaceutical industry (preferred)
General understanding of basic GDP principles and GMP environments
Strong proficiency with Microsoft Office applications
Familiarity with office equipment (copier, scanner, fax, etc.)
Proficient with Document Routing System workflow functionality
Ability to climb stairs, bend, and reach for filing; lift up to 30 lbs. as needed to move/organize file boxes
Finance Manager, 125K-145K
Irving, TX jobs
Addison Group is partnered with a private-equity owned healthcare company in Irving, TX. This company is in search of a Corporate FP&A Manager that will be heavily involved in budgeting and forecasting. This role will report the the VP of Finance and work closely with executives across the company.
This position is hybrid in Irving, TX. They are typically in office 3-days per week. This role pays 125K-145K base + bonus.
Responsibilities includes:
Assist with developing revenue and expense budgets, monthly forecasts financial models and present analytics to support management team
Perform forecast and budget variance analysis in conjunction with the entire Finance team
Manage financial and operational ad-hoc reporting and analysis
Prepare and review financial variances between Actual/Budget/Forecast financial results
Provide support on the monthly close process, including review of variance analyses, key trends, and performance metrics
Lead the planning, coordination and consolidation of corporate budget/forecast as needed by the business
Continuously analyze revenue and expense drivers to incorporate trends into financial forecasts
Requirements:
Bachelors in Finance or business related degree
5+ years of FP&A experience; preferably with healthcare companies
1+ years of FP&A management experience, preferably with healthcare companies
Ability to communicate and cross functionally partner with various other departments. Ability to present to all levels of the organization including senior leadership.
If you are interested in this job or other finance and accounting career opportunities from Addison Group please email Chris Lawrie at *****************************.
Financial Analyst
Morrisville, NC jobs
*** You must currently reside within 20 miles of Morrisville, NC to be considered for this role. ***
A growing, PE-backed healthcare organization with strong backing and ongoing acquisitions is seeking a Financial Analyst to support its expanding finance function. This newly created role is designed for someone eager to learn the business, collaborate with leaders, and take ownership of critical financial processes.
The Opportunity:
This is a hands-on position with direct exposure to senior leadership across the organization. You'll support the monthly close, perform financial analysis, and help build reporting for multiple business units. The environment moves quickly, welcomes new ideas, and offers opportunities to shape processes as the company scales. This is an ideal role for someone inquisitive, analytical, and motivated to grow.
What You'll Do:
• Manage monthly financial close procedures for multiple entities
• Perform first-level P&L reviews and partner with accounting to ensure accuracy
• Prepare weekly budget vs. actual reports and quarterly incentive calculations
• Build monthly KPI reporting and financial packages
• Execute ad hoc projects such as brand-level analysis, including OpEx, headcount, and retention
• Collaborate cross-functionally and proactively identify opportunities to improve processes
Qualifications:
• Big 4 or large regional public accounting experience (2+ years)
• Curious mindset with strong analytical skills
• Excellent communication and a professional, friendly presence
• Self-starter who enjoys solving business problems and jumping into new challenges
Work Environment:
• Hybrid: 2 days per week on-site for collaboration- Morrisville, NC
Financial Analyst II
North Chicago, IL jobs
Duration: 3 months, Contract to Hire
**HYBRID Role -- 3 days in the office - currently Monday, Tuesday, Wednesday. Changing to Tuesday, Wednesday, Thursday in 2026. During the closing week it would be the 4 days of close regardless of the day**
Job Description:
What are the top 3-5 skills, experience or education required for this position:
1. Manufacturing Accounting Experience i.e., Absorption and operating variances.
2. Cost Accounting experience
3. Bachelor's in Accounting or Finance.
4. Ability to meet tight deadlines.
5. Multi-tasking
The Senior Analyst, Finance is responsible for financial accounting, cost allocation, collection of data and preparation of reports that maintain Client's cost accounting systems for businesses supported.
Key Responsibilities Include:
Leads and reviews month-end processes for businesses supported. Includes but not limited to inventory reconciliation, manufacturing variance analytics and reconciliation of general ledger accounts.
Leads plant reviews and understands the growth/performance of their business and analyzes variances of actuals vs plan.
Financial support for Plan and Update. Flash/LBE (Latest Best Estimate) preparation. Review and understand variances from Plan/Update/LBE. Provide mid-month analysis of actuals and trend against LBE to plant management.
Responsible for assisting Operations team in the identification of areas for cost reductions and operational improvements, annual budget process, periodic forecasting and periodic analysis of operations performance.
Prepare, coordinate, and develop standards for assigned business unit or product family, and ensure timely communication of information.
Maintain internal controls and account reconciliations for respective business unit to ensure appropriate asset valuation and safeguards.
Prepare and analyze journal entries as needed during month-end close process.
Provide ad hoc analysis to support complex decision making.
Qualifications:
Bachelor's degree in Accounting or Finance.
Minimum 4 years related accounting experience in a manufacturing environment required.
Knowledge and proficiency in systems, particularly MS Excel and SAP, is critical.
Possess a working knowledge of the Corporate Financial Manual (CFM) and the ability to apply the correct policy to business issues.
Strong analytical, problem solving, and communication skills.
Must be able to manage multiple priorities and achieve required timelines.
Familiarity with standard cost variance analysis preferred.
About US Tech Solutions:
US Tech Solutions is a global staff augmentation firm providing a wide range of talent on-demand and total workforce solutions. To know more about US Tech Solutions, please visit ************************
US Tech Solutions is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.
Recruiter Details:
Name: Ishan
Email: *********************************
Internal Id: 25-50852