Senior Manager
Unspecified

N/A

Sr. Operational Finance Manager

Unspecified
The Woodlands

1 year ago

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Plan, coordinate, and manage financial activities of the overall business with internal and external capital providers and direct reports in the finance/treasury department. Communicate and support operations through financial analysis and reporting.

  • Compiling a variety of financial analyses such as valuation, buy vs lease, payback, NPV, IRR, M&A scenarios, and three-statement operational models
  • Prepare and maintain cash forecasting schedules/models
  • Prepare and maintain customer revenue forecast
  • Prepare and maintain debt and investment schedules
  • Coordinate servicing of Company’s debt obligations
  • Prepare and analyze financial implications of new growth initiatives
  • Assist in the preparation of financial presentations for executive management, shareholder representatives and board review
  • Utilize rigorous analytical and data processing techniques to research market segments, trends, competitive landscape, and expansion opportunities to provide recommendations to management
  • Identifying trends in financial performance and providing recommendations for improvement
  • Initiate process improvements that maximize department efficiency
  • Develop comprehensive financial models to measure impact of operational scenarios on capital requirements, loan covenants, and KPIs
  • Provide strategic guidance around capital financing options to support company growth needs
  • Analyze financial results with respect to profits, trends, costs, and compliance with budgets. Issue regular status and ad hoc reports to senior management
  • Develop and present financial analysis to shareholder(s), governing committees, executive management and to third parties
  • Manage forward-looking financial planning, forecasting and pro-forma financial statements for the company and discuss and make recommendations to executive management
  • Manage the overall budgeting and planning process for our group of companies
  • Lead financial analysis projects and working on special projects to support the various needs of the company
  • Oversee and manage short-term and long-term cash flows
  • Assist with the compliance of all bank covenants and loan agreements
  • Provide input and support the process of completing the annual financial audit
  • Collaborate and build relationships extensively with all departments

Competencies:

  • Must have strong background in Financial Modeling, Budgeting and Forecasting or FP&A
  • Basic knowledge of financial systems and accounting mechanics
  • High proficiency with the use of MS office, with advanced skillset in Excel and Power-Point
  • SQL, Adaptive Insights and Power BI helpful
  • Excellent communication and presentation skills
  • Ability to learn new concepts and tasks quickly, work under pressure, and meet deadline requirements in a fast-paced, dynamic environment
  • Strong analytical and written skills, as well as work experience utilizing advanced, investment banking-grade financial modeling in Excel and presenting in PowerPoint, are also a must
  • Ability to prioritize, self-start, and work independently
  • Possess strong attention to details, effective multitasking, and swift strategic thinking skills

Education and Experience:

  • Bachelor’s degree in Finance
  • Possession of any of: CFA, CPA is an added advantage
  • Minimum of 7 years of operational experience in Financial Planning & Analysis, experience in investment banking, private equity, or equivalent helpful
Salary
$
Responsibility
Scope
-
Workplace
-
Functions
Level
N-2
Travel
10%
Date Added
07-20-2024

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