Corporate Finance Manager

CFS

Reynoldsburg, OH

JOB DETAILS
SALARY
$100,000–$115,000 Per Year
SKILLS
Accounting, Accounting Standards and Regulations, Analysis Skills, Budget Management, Budgeting, Business Administration, Business Support, Capital Budgeting, Cash Flow Projection, Cash Management, Certified Public Accountant (CPA), Communication Skills, Continuous Improvement, Corporate Finance, Corporate Policies, Cross-Functional, Data Analysis, Data Entry, Data Management, Data Modeling, Decision Support, Detail Oriented, Finance, Financial Analysis, Financial Management, Financial Modeling, Financial Operations, Financial Planning, Financial Policies, Financial Procedures, Financial Regulations, Financial Reporting, Financial Strategy, Financial Systems, Financial Trend Analysis, Forecasting, Generally Accepted Accounting Principles (GAAP), Leadership, Maintain Compliance, Market Tracking, Market Trend Analysis, Microsoft Excel, Organizational Skills, Performance Analysis, Performance Metrics, Presentation/Verbal Skills, Pricing, Process Improvement, Product Pricing, Profit & Loss, Project Tracking, Purchasing/Procurement, Regulatory Requirements, Sales Operations, Sales Qualification, Strategic Planning, Treasury Management, Trend Analysis, Variance Analysis, Word Processing
LOCATION
Reynoldsburg, OH
POSTED
1 day ago

Job Title: Corporate Finance Manager
Onsite, Columbus OH
Salary: $100,000-115,000


Position Summary:
The Corporate Finance Manager is responsible for leading financial planning, analysis, and reporting to support strategic decision-making and overall business performance. This role oversees budgeting, forecasting, capital planning, and cash management while ensuring compliance with accounting standards and internal controls. The ideal candidate brings strong analytical capabilities, financial modeling expertise, and the ability to communicate complex financial insights to diverse stakeholders.



Key Responsibilities:



  • Lead the development of long-term financial strategies, including annual budgets, forecasts, and short- and long-term cash flow projections; analyze performance against plans and provide actionable insights

  • Evaluate investment opportunities and oversee capital budgeting processes, advising leadership on asset utilization and financial strategy

  • Oversee financial reporting and analytics, including preparation of management reports, KPI tracking, variance analysis, borrowing base reporting, and cash position monitoring

  • Manage daily treasury functions, including cash positioning, line of credit activity, ACH/wire approvals, and bank reporting; serve as liaison for audits, appraisals, and financial institutions

  • Ensure compliance with GAAP, corporate policies, and regulatory requirements by maintaining strong internal controls and supporting audit activities

  • Partner with cross-functional teams (e.g., Purchasing, Sales, Operations) to deliver financial insights, improve efficiency, and support business objectives

  • Monitor project performance, analyze trends and variances, and provide recommendations to improve processes, controls, and profitability

  • Develop and maintain financial models to support strategic initiatives, pricing, and operational decision-making

  • Prepare specialized financial and operational reports by analyzing data and identifying key trends

  • Support inventory forecasting and monitor market trends, including commodity pricing, to inform financial planning



Qualifications:



  • Bachelor’s degree in Accounting, Finance, Business Administration, or related field required

  • CPA or MBA required

  • Strong knowledge of Generally Accepted Accounting Principles (GAAP)



Knowledge, Skills, and Abilities:



  • Advanced financial modeling and data analysis skills, with the ability to interpret complex financial information

  • Proficiency in financial systems and advanced Microsoft Excel

  • Strong communication skills with the ability to present financial insights clearly to senior leadership and non-financial stakeholders

  • Strategic thinker with the ability to analyze trends and develop forward-looking financial plans

  • High attention to detail and accuracy in financial reporting and analysis

  • Knowledge of corporate policies, procedures, and financial regulations

  • Strong organizational and data management skills, including basic data entry and word processing



Additional Information:
This role requires a proactive, detail-oriented finance professional who can balance strategic planning with hands-on financial management while driving continuous improvement across financial processes and reporting.


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About the Company

C

CFS

Founded by CPA firms in 1994, Creative Financial Staffing has spent over 30 years helping job seekers and employers succeed. In fall 2025, we rebranded as CFS—a name that reflects our full range of expertise while staying true to the trusted company you know.

CFS is the industry’s leading employee-owned staffing firm, connecting top talent in accounting, finance, technology, and human resources. We provide skilled professionals on both a temporary and permanent basis across diverse industries, leveraging our extensive network to match the right people with the right opportunities.

Our dedication to excellence extends to our award-winning culture, recognized repeatedly for growth, recruiting, workplace environment, and employee support. Honors include Forbes’ “America’s Best Recruiting and Temporary Staffing Firms,” Staffing Industry Analysts’ top U.S. staffing rankings, FlexJobs’ Top 100 Companies for Remote and Hybrid Work, Top Workplaces USA, Newsweek’s Best Practices awards, and more.

COMPANY SIZE
500 to 999 employees
INDUSTRY
Financial Services
FOUNDED
1994
WEBSITE
http://www.cfstaffing.com/