Oversee the month-end close process, preparing financial statements, and handling advanced reconciliations, while working with the business stakeholders and the accounting team to reduce the number of days to close
Manage day-to-day cash flow, including forecasting, monitoring bank balances, and ensuring adequate liquidity to meet operational needs and obligations.
Partner closely with FP&A, Ad Revenue Operations, the CFO, and CEO to align financial reporting, forecasting, and business decisions, providing timely insights to support strategic planning.
Lead the annual financial audit and preparation of support for audited financial statements
Review account reconciliations and journal entries; prepare variance analyses and ensure accounting activities are well supported and documented
Manage Accounting Team; provide mentorship and guidance while helping them to excel and grow in their roles
Prepare financial deck for quarterly and ad hoc Board of Director meetings
Oversee tax compliance and reporting, including state tax filings
Solve complex problems and contribute to improving processes within the department and company
Requirements
CPA with a Bachelor’s degree in Accounting or similar
10-15 years’ experience, with a blend of public accounting firm and private industry experience