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Job Description
- Create and present financial and tax strategy recommendations to CEO
- Support the financial planning and analysis efforts
- Oversee cash flow, cash management, working capital, and company audits
- Prepare financial statements and reports
- Ensure legal compliance on all financial functions
- Manage relationships with banks
- Work closely with key business leaders to provide support and drive financial objectives, make recommendations to support development of the company’s overall business strategy and act as a true business partner to the client’s leadership.
Job Requirements
- Bachelor’s Degree in Business, Accounting or related field required.
- Master’s Degree preferred
- 7 years of professional experience in public accounting, real estate experience preferred
- Excellent communication and facilitation skills, ability to build relationships and foster trust at all organizational levels.
- Experience working with large systems and advanced technical skills.
- Proven acquisition and investment experience is highly desired