take responsibility for a broad range of complex processes
which may include forecasting, budgeting, preparing financial statements, managing system implementations, financial modeling, reporting covenants to large bank counterparties, assisting in the tax process for the founder/owner, preparing information for regulators and working with external auditors on complex accounting topics
Be detail oriented
, able to assist with the month-end close process and investor risk reports as well as compensation process for portfolio teams and the owners monthly financial packages
Have
strong leadership skills
and be comfortable working closely with various levels of senior management
Enjoy a fast pace environment and be looking
to broaden your skill set at an accelerated pace
Be adaptive
to handle on-going changes in business needs and adjust approach in response
Creatively implement new techniques
and lead projects that can improve the firms financial reporting and accounting process while individually investigating errors or problems, identifying solutions, and grounding those solutions in thoughtful analytics
0-3 years of experience in corporate finance or a relevant field, strong technical finance & accounting knowledge, and project management experience.
Job Classification
Industry: Software ProductFunctional Area / Department: Finance & AccountingRole Category: TreasuryRole: Treasury ExecutiveEmployement Type: Full time