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Finance & Accounting Manager

Hands of Hope Physical Therapy & Wellness
Maadi, Cairo
Posted 1 year ago
303Applicants for1 open position
  • 24Viewed
  • 2In Consideration
  • 0Not Selected
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Job Details

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Job Description

Hands of Hope is a Physical Therapy & Wellness hub, currently running 9 active locations in New York and around the state, strive to reinvigorate Physical Therapy adapting the latest technology in treatment and healthcare industry giving the best quality of care assisting our patients in their recovery journey and help them get back to their normal life faster.

We are looking for a Finance & Accounting Manager capable of managing the financial functions of the organization; produce financial reports, manage investment activities, and create strategies and plans for the long-term financial goals of an organization.

Responsibilities:

  • Manage the company's financial accounting, monitoring, and reporting systems
  • Monitor the day-to-day financial operations within the company (payroll, invoicing, and other transactions)
  • Participate in strategic data analysis, research, and modeling for senior company leadership
  • Support project analysis, validation of plans, and ad-hoc requests
  • Make estimates of funds required for the short and long-term financial objectives of the organization.
  • Complete financial reports, lead the month-end closing process and conduct monthly financial forecast.
  • Develop and implement plans for budgeting, forecasting, and reporting.
  • Achieve a proper mix of equity and debt to minimize cost and maximize operational profit.
  • Strategize on fund procurement through banks and other financial institutions.
  • Evaluate the financial performance of the organization and measure returns on investments.
  • Reinforce financial data confidentiality and conduct database backups when necessary.
  • Supervise the preparation of quarterly and annual account reconciliations, monitor, and enforce compliance with tax and financial reporting standards and assist with cash flow forecasting.
  • Cash flow management and supervise payment cycles.
  • Compute taxes and prepare tax returns.
  • Supervise the preparation of quarterly and annual account reconciliations, monitor, and enforce compliance with tax and financial reporting standards and assist with cash flow forecasting.
  • Report on the company’s financial health and liquidity.
  • Audit financial transactions and documents.

Job Requirements

  • Bachelor's degree in Finance or Accounting; CPA a plus
  • 5-8 years of experience in accounting and/or financial analysis
  • Excellent business judgment, analytical, and decision-making skills
  • Knowledge of financial reporting and data mining tools such as SQL, Access, etc.
  • Experience in QuickBooks.
  • Solid proficiency in Microsoft Office, SAP, and other financial planning software
  • Strong listening and communication skills.
  • Ability to work efficiently without compromising quality or accuracy.
  • Analytical thinker with strong conceptual and problem-solving skills
  • Fluency in English is a must for this position.
  • Ability to work from 3:00pm to 11:00pm office based in Maadi.

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