What are the responsibilities and job description for the Director of Finance And Accounting position at Robert Half?
Dana Rodak from the Rochester, NY Robert Half office has been engaged by a local company to find their next Director of Finance based in Rochester, New York. This role will involve overseeing the financial operations of the organization, including budgeting, tax strategy, and cash flow management.
For confidential consideration, please apply or email your resume to Dana Rodak directly.
Responsibilities:
• Oversee and lead the annual budget process, ensuring accurate financial forecasting.
• Develop and present monthly financial reports to guide strategic decision-making.
• Manage and review tax compliance, optimizing tax strategies in accordance with local, state, and federal laws.
• Oversee liquidity management and manage banking relationships to maintain financial stability.
• Maintain relationships with financial institutions and manage credit facilities and banking agreements.
• Establish and oversee financial policies and procedures to mitigate financial risks.
• Provide strategic financial planning, making recommendations on cost-saving initiatives and investment opportunities.
• Analyze financial data, identify trends and develop strategic financial plans.
• Ensure the organization's financial stability and strategic growth by managing complex tax returns and banking relationships.
• Utilize skills in financial modeling, Microsoft Excel, and accounting software. Experience with ERP systems is a plus.
Requirements of the Position:
• A Bachelor's Degree in Accounting or Finance is required. CPA or MBA is preferred.
• Minimum of 5 years of experience in an financial management role
• Proficiency in using Accounting Software Systems
• Solid understanding of Accounting Functions
• Experience in creating and managing Annual Budgets
• Expertise in Auditing practices and procedures
• Proficient in Budget Processes and management
• Skilled in Financial Reporting and Financial Analysis
• Experience with Complex Tax Return preparation and Tax Structuring
• Proven ability in Cash Flow Management
• Experience in handling Corporate Treasury functions
• Strong understanding of Internal Control mechanisms and their implementation.
Salary : $125 - $145