What are the responsibilities and job description for the Corporate Finance Manager position at Full House Resorts?
Key Responsibilities:
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Financial Planning & Analysis (FP&A):
- Lead the preparation of annual budgets, forecasts, and long-term financial projections.
- Conduct detailed financial analysis to support business decision-making.
- Monitor financial performance, track key financial metrics, and recommend corrective actions.
- Prepare financial reports and presentations for senior management, stakeholders, and board meetings.
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Cash Flow Management:
- Oversee cash flow forecasting and working capital management.
- Ensure effective management of cash reserves, investments, and financing activities.
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Financial Reporting:
- Prepare and manage monthly, quarterly, and annual financial statements in compliance with accounting standards.
- Ensure accurate and timely reporting to stakeholders, including senior management, auditors, and regulatory bodies.
- Identify and implement improvements to financial reporting processes.
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Strategic Financial Support:
- Collaborate with business leaders to evaluate potential investments, business opportunities, and cost-saving initiatives.
- Provide financial modeling and analysis to support corporate strategies, mergers, acquisitions, and other major financial transactions.
- Assess financial risks and opportunities to guide decision-making at the executive level.
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Team Leadership & Development:
- Manage, mentor, and develop junior finance team members.
- Foster a collaborative and high-performance work environment.
- Promote continuous improvement within the finance department by implementing best practices and efficient processes.
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Compliance & Governance:
- Ensure adherence to financial regulations, internal controls, and corporate policies.
- Work closely with auditors to ensure compliance and successful audits.
- Stay current on financial regulations, industry trends, and market developments.