Finance Manager
On-siteNew York City, New York, United States or New York, United States
Job Summary
Support the month-end close process, including balance sheet reconciliations and supporting schedules, while maintaining accurate financial data across multiple entities. Contribute to the preparation of internal financial reporting and analysis used by senior leadership, and assist in maintaining documentation required for regulatory and compliance reporting across jurisdictions. Help design and implement robust financial controls, coordinate statutory audits across global entities, and work with Finance and Data teams to improve reporting accuracy and data quality through automation initiatives. Manage multiple priorities in a fast-paced, high-growth environment to strengthen the financial control environment.
Required Qualifications
- CPA / ACA (or equivalent) qualified with 1–2 years post-qualification experience
- Prior experience in audit, financial reporting, or financial controls (e.g., Big 4 or similar environment)
- Strong understanding of accounting principles and financial reporting processes
- Excellent attention to detail and strong analytical skills
- Ability to manage multiple priorities in a fast-paced, high-growth environment
- Strong Excel / Google Sheets skills
Desired Qualifications
- Experience with NetSuite or similar ERP systems is a plus
- Interest in process improvement, automation, and building scalable finance processes
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