What are the responsibilities and job description for the Global Finance Manager position at InVue?
Description
The Global Finance Manager will be a key contributor in the finance and accounting department for a multi-entity and global organization experiencing rapid growth. Primary initial focus will be on supporting a recently acquired entity with critical accounting activities in the areas of financial reporting & analysis, treasury, process improvement, FP&A and audit/tax oversight. Over time this role will evolve to encompass a broader organizational scope including additional entities and/or responsibilities. The Global Finance Manager will report to the CFO.
Responsibilities
The Global Finance Manager will be a key contributor in the finance and accounting department for a multi-entity and global organization experiencing rapid growth. Primary initial focus will be on supporting a recently acquired entity with critical accounting activities in the areas of financial reporting & analysis, treasury, process improvement, FP&A and audit/tax oversight. Over time this role will evolve to encompass a broader organizational scope including additional entities and/or responsibilities. The Global Finance Manager will report to the CFO.
Responsibilities
- Primary reviewer of monthly, quarterly and year end close activities including journal entries, accruals, intercompany activity, balance sheet reconciliations and financial statement reviews of the recently acquired entity
- Lead the parent company financial reporting process by ensuring local entity results are recorded and uploaded to the parent company’s reporting platform within the required deadlines
- Support ongoing integration efforts in the areas of financial reporting, treasury, process improvement and internal control
- Enhancing financial insight and planning through ongoing support of forecasting/budgeting activities and continuous coordination with finance teams to ensure alignment and process improvement
- Work in tandem with global treasury and local AP/AR/HR teams to execute and manage day-to-day treasury operations including banking transactions and corresponding accounting entries, cash reconciliations and reporting
- Support department leadership by providing guidance on the implications of intercompany transactions related to statutory and parent company reporting
- Act as primary point of contact for day-to-day management and oversight of any internal/external audits
- Ensure compliance with all domestic and international accounting standards
- Direct and lead the work of others while acting as a mentor in the development of the team
- Work cross functionally with other departments to support organizational needs
- Anticipate and meet business demands in a fast-paced environment
- Bachelor’s Degree in Accounting or Finance
- 5 years of accounting/finance experience
- FP&A experience preferred
- Advanced Excel skills and proficient with other software applications (Word, PowerPoint)
- Highly self-motivated with a proven track record of managing multiple priorities
- Highly organized, attentive to detail, and comfortable managing tight deadlines
- Highly proficient at analyzing large volumes of transactional data
- Strong communication skills with ability to effectively lead and partner with employees at all levels of the organization
- Demonstrated ability to identify process improvement opportunities, proactively assess problems and recommend solutions
- Experience with AS400, OneStream and/or SAP preferred
- Ability to support occasional, project-based travel