What are the responsibilities and job description for the Manager Corporate Finance position at Angeion Group LLC?
Angeion Group is looking to hire a Manager of Corporate Finance to its rapidly growing department. This is a full-time hybrid position, located at our headquarters in Center City, Philadelphia. This position will need to come into the office on an as needed basis (estimated 2x a week on average). The position will report to the EVP of Finance and indirectly to the Chief Financial Officer.
About The Company
Angeion Group is a leading provider of comprehensive settlement management services for class actions, mass tort, and bankruptcy administration. Leveraging world-class technology, proven best practices, and expert consulting, Angeion delivers the services and capabilities that drive greater efficiency in settlement administration. Formed by a proven and experienced executive leadership team, Angeion is bringing novel ideas and fresh approaches to notice and claims administration. For more information, please visit our website.
Duties And Responsibilities
- Own the corporate finance model, including the support revenue and headcount models of the company
- Manage the weekly KPI process, including business updates, sales KPIs, cash forecasts, and other financials
- Support new strategic financial projects including expansion of our international business and new business lines
- Create the monthly external financial reporting package for lenders and investors, under advisement of the EVP and CFO
- Support M&A accounting activities of the company, including ERP migration, chart of accounts mapping and consolidation, net working capital, purchase price accounting and opening balance sheet support
- Prepare quarterly covenant calculations for lender reporting
- Support the annual budget process including the forecast and strategic initiative development
- Work closely with the EVP, CFO, COO, and Director of Operations to manage AR reporting, collection analyses, and optimization of billing through data
- Lead revenue optimization opportunities related to financial analysis of case performance and data streamlining
- Develop the monthly and quarterly board of directors materials in coordination with the CFO, CEO, and COO
- As needed, support key internal initiatives of the Company to help project manage or execute on tasks critical to roll out of our new core infrastructure
Qualifications
- Bachelor’s degree in accounting, finance, economics, or related field required.
- Minimum of (4) year of professional experience in a corporate finance, FP&A, external auditing, or management consulting role required
- Expert in Microsoft Excel is required, including but not limited to, financial modeling, financial analysis, and data analysis
- Strong experience with creating presentation in PowerPoint is preferred
- Excellent communication and customer service skills a must
- Ability to work with senior leaders of an organization to support critical and confidential decisions
- Must have strong knowledge of GAAP and its application
- Experience with multi-entity financial systems is a plus (Sage Intacct, Net Suite, Microsoft Dynamics)
Must be presently authorized to work in the U.S. without a requirement for work authorization sponsorship by our company for this position now or in the future.
Benefits:
- 401(k)
- Dental insurance
- Flexible schedule
- Health insurance
- Health savings account
- Life insurance
- Paid time off
- Referral program
- Vision insurance
Work Location: Hybrid/Remote in Philadelphia, PA 19103