What are the responsibilities and job description for the Controller position at Lorenzi Health LLC?
Job Description
Job Description
Description :
We are seeking a highly motivated and detail-oriented Controller to join our team. The ideal candidate will have a strong background in finance, accounting, and data analysis. As a Financial Analyst, you will be responsible for analyzing financial data, creating financial models, and providing insights to support business decisions.
If you are a self-starter with a passion for finance and data analysis, we encourage you to apply for this exciting opportunity. We offer competitive compensation and benefits packages, as well as opportunities for growth and development within the company!
Comany infomation :
Lorenzi Health LLC. strives to be a provider and client focused organization staffed by highly trained professionals focused on total health and wellness. We are dedicated to our providers and believe in a healthy work-life balance. We are a rapidly growing practice and would love to have you join our team! We are a family focused organization and believe that people come first. We strive to take care of our providers, so in turn they can take care of the clients!
Responsibilities :
- Collaborate with HR to complete Bi-weekly payroll
- Payroll Reconciliations
- With guidance and input from the President, develop and maintain a suite of standard financial analyses tools, as well as proposed process and usage.
- Administration, auditing and reconciliation of Accounts Payable and Accounts Receivable
- Maintain and update financial data and communicate monthly, quarterly, and annual financial results; monitor progress and changes, and keep the President abreast of analysis results
- Creating, analyzing and updating balance sheets, income statements, profit and loss statements, revenue per hour / cost per hour of service provided reports, A / R and A / P aging reports, and other financial reports
- Support with ad hoc analyses and projects, as requested.
- Update financial models with actuals and re-forecasts to perform post-investment appraisal reviews
- Participate in a multi-year financial systems working group to ensure current and future decisions are aligned with the goal of continued financial analysis improvements
- Manage key aspects of revenue analyses, such as fundraising ROI, connecting proposal pipeline data to expense projections, and ensuring there is visibility into financial information
- Maintain and improve processes and tools for revenue forecasting and on-going management of revenue projections, across all channels and restrictions, in support of monthly financial reporting
- Builds and maintains relationships with subject matter experts in Business Development, Finance, Accounting, Tax, Treasury, Legal, Market Fundamentals, etc. to enable integration of relevant expertise into financial models
- Provide mentorship to all team members across our sites to increase analysis capabilities as part of site priorities
- Other duties as assigned by supervisor / manager
Requirements :
Required Skills & Qualifications :
Preferred Skills & Qualifications :
Benefits :