Located on Cleveland's east side, our client is biologic manufacturing company focused on cell therapy applications. As part of their growth, they are seeking a a Finance & Accounting Manager responsible for supervising financial activities, providing strategic financial planning and analysis, and managing secure and accurate financial reporting.
In addition, you will serve as a financial controller, ensuring adherence to accounting policies and internal controls. You must have a keen eye for detail and the ability to analyze complex financial data, use financial models effectively, and provide guidance based on sound financial analysis. You will also interface with cross-functional teams, including Corporate Leadership, R&D, Operations, and Sales teams, to achieve the company’s financial goals, identify opportunities for profitable growth, and execute financial strategies to increase operational efficiency.
Start-up experience preferred.
Life Sciences experience preferred.
This is an individual contributor role, but has significant visibility.
RESPONSIBILITIES :
Develop and manage the company's financial plans and budgets
Analyze financial data and create various financial analysis reports and financial projections
Conduct pricing analysis and create financial reports for the company
Identify gaps in current accounting structure and re-structure GL for optimal reporting
Create accounting systems and implement them
Maintain accurate and up-to-date financial records
Manage AP and AR functions, bookkeeping, accounting, and handle financial audits.
Process payroll and ensure compliance with tax regulations
Manage banking relationships and monitor cash flow to ensure liquidity
Monitor and establish financial policies to control expenses and ensure financial stability and sustainability
Develop and implement financial policies and procedures to ensure compliance with regulations and best practices
Planning and implementing financial elements of ERP systems, Inventory management system, e-commerce etc.
Manage debts and other financial instruments to ensure optimal financial performance
Handle all tax matters to ensure compliance and minimize tax liability
Perform ROI, IRR, and NPV analysis to evaluate the profitability of investments and projects
Develop and track financial KPIs to measure the company's financial performance
Prepare and present financial reports to senior management and stakeholders
Manage and handle financial audits to ensure compliance with accounting standards
Approve payments and code expenses appropriately
QUALIFICATIONS:
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