Job Summary
A company is looking for a Finance Manager - Cash Operations, Risk & Controls.
Key Responsibilities
- Oversee and optimize end-to-end cash management strategy, including forecasting and account structure
- Lead the bill approval process, ensuring accuracy and policy alignment across departments
- Manage corporate insurance programs and assess risk exposure to ensure adequate coverage
Required Qualifications
- 7-10+ years of experience in finance, accounting, or audit, preferably in high-growth CPG or eCommerce
- Expertise in cash flow management and internal controls
- Solid understanding of tax compliance for U.S.-based operations
- Experience with financial systems such as Acumatica or NetSuite
- Self-starter mindset with a focus on structure and improvement
Comments