- Prepare month, quarter, and year-end close deliverables in a timely manner
- Ownership of cash-related accounting activities, including oversight of accounts receivable
- Provide long-range and short-term financial and business forecasts
- Drive revenue and profitability through participation in special projects and ad hoc analyses
- Produce monthly and quarterly reports, forecasts, and payments for a variety of partners
- Act as the central point person for internal reporting around key business metrics and financials
Requirements
- 2-4 years of relevant experience
- Degree in accounting/finance is a MUST
- Advanced Excel skills
- Deep understanding of financial statements and modeling/forecasting
- Attention to detail, self-driven and independent. Deadline-oriented.
- Enthusiasm and readiness to join a fast-paced company