This is a hybrid position based out of sunny Clearwater, FL. 3 days in the office, 2 days remote. We are only considering candidates local to Clearwater, Fl at this time.
JOB SUMMARY
Responsible for preparing and compiling financial reporting, analysis, and projections, and operating metrics for business unit reviews, identifying and analyzing forecast and budget variances, and providing financial support in development of corrective action plans to achieve business unit goals.
ESSENTIAL DUTIES AND RESPONSIBILITIES
Analyze markets’ financial and operating results of the respective business unit
Prepare financial projections and assess performance against budget, forecast, and prior year
Compile operating metrics for weekly/monthly business unit review meetings
Prepare presentations of financial and operating results for senior management
Provide financial support to business unit leaders or operational teams to achieve business unit goals
Assist with the development of corrective action plans
Manage the tracking of business initiatives and corrective actions plans
Take initiative to improve process efficiencies and corrective action plans
Assist with budget preparation
Assist with ROI preparation
Assist with acquisition due diligence
Assist with month end closing and review account reconciliation
Lead or assist with process improvement and automation, and other special projects as necessary
May perform other duties and responsibilities as assigned