What are the responsibilities and job description for the Finance Manager position at Tradewell Painting?
As a Finance Manager at Tradewell, you will be responsible for overseeing the company’s financial operations, including budgeting, forecasting, financial reporting, and analysis. You will collaborate closely with senior leadership to drive financial strategies, optimize cash flow, and ensure the company’s financial health and compliance. This role is ideal for an experienced finance professional with strong analytical skills, attention to detail, and the ability to provide actionable insights that drive business performance.
Key Responsibilities:
Financial Planning & Analysis (FP&A)
- Lead the budgeting and forecasting processes, ensuring alignment with company goals and objectives.
- Prepare detailed financial forecasts, analyze variances, and provide actionable recommendations to senior management.
- Monitor financial performance against budget, identifying trends and potential risks or opportunities.
- Prepare financial models and scenario analyses to support decision-making for new projects, investments, and strategic initiatives.
Financial Reporting
- Prepare monthly, quarterly, and annual financial statements in accordance with GAAP or applicable accounting standards.
- Ensure timely and accurate reporting of financial results to senior leadership, shareholders, and stakeholders.
- Manage the preparation of external financial reports, including regulatory filings, tax reports, and investor relations materials.
- Provide in-depth analysis and commentary on financial results, highlighting key performance indicators (KPIs) and explaining variances.
Cash Flow Management
- Oversee cash flow management to ensure adequate liquidity for operational needs and strategic investments.
- Develop strategies for optimizing working capital and reducing cash flow risks.
- Monitor and manage company’s short- and long-term financing needs, including loans, lines of credit, and equity funding.
Cost Control & Profitability Analysis
- Identify cost-saving opportunities and implement measures to optimize operational efficiency.
- Conduct profitability analysis on product lines, departments, and business units to identify areas of improvement.
- Provide insights on cost structures, pricing strategies, and margin optimization.
Internal Controls & Compliance
- Ensure compliance with financial regulations, tax laws, and corporate policies.
- Work closely with internal and external auditors to ensure adherence to accounting standards and effective internal controls.
- Maintain robust financial systems and controls to safeguard company assets and ensure accuracy in financial reporting.
Strategic Financial Support
- Provide financial insight and recommendations to support business strategies and key decision-making.
- Collaborate with other departments (e.g., Operations, Sales, Marketing) to ensure financial targets and goals are met.
- Support the finance team in evaluating investment opportunities, business expansion, and cost-reduction initiatives.
Team Leadership & Development
- Manage and mentor junior finance team members, providing guidance and support for their professional growth.
- Foster a collaborative and high-performance culture within the finance department.
- Ensure the team maintains high standards of accuracy, efficiency, and timely delivery of financial reports.
Qualifications:
Experience:
- 1-5 years of experience in finance, accounting, or a related field, with a solid understanding of financial analysis, budgeting, and reporting.
- Previous experience in a finance manager or senior accountant role, preferably in a corporate environment.
- Experience with financial modeling, cost analysis, and financial reporting systems.
- Familiarity with ERP systems (e.g., SAP, Oracle, NetSuite) and advanced Excel skills.
Skills:
- Strong analytical and problem-solving skills, with the ability to interpret financial data and translate it into actionable insights.
- Excellent communication skills, with the ability to present complex financial information to non-financial stakeholders.
- Strong attention to detail and the ability to work under pressure to meet deadlines.
- Advanced proficiency in financial software and tools, including Excel, financial modeling, and reporting systems.
- Knowledge of accounting principles (GAAP or IFRS), tax regulations, and financial compliance requirements.
Education:
- Bachelor’s degree in Finance, Accounting, Economics, or a related field (MBA or CPA preferred).
Benefits:
- Competitive base salary and annual performance-based bonus.
- Generous paid time off (PTO) and company holidays.
- Professional development opportunities, including certifications, training, and conference attendance.
- A collaborative and dynamic work environment with growth opportunities.
Job Types: Full-time, Contract
Pay: $70,000.00 - $100,000.00 per year
Benefits:
- Paid time off
Schedule:
- 10 hour shift
- 8 hour shift
Application Question(s):
- What is your salary expectations?
Ability to Commute:
- Tampa, FL 33675 (Preferred)
Ability to Relocate:
- Tampa, FL 33675: Relocate before starting work (Preferred)
Work Location: In person
Salary : $70,000 - $100,000