Prepare and oversee the creation of internal and external financial statements, ensuring accuracy and compliance with standards like Generally Accepted Accounting Principles (GAAP).
Manage day-to-day accounting functions, including accounts payable, accounts receivable, payroll, and general ledger maintenance.
Develop and manage budgets, conduct financial forecasting, and monitor financial performance against benchmarks.
Ensure compliance with financial regulations, tax laws, and internal controls, implementing new processes as needed.
Provide financial insights and advice to founders and the executive team to support strategic decision-making and growth.
Oversee cash flow, ensuring timely payments to vendors and collection from customers to maintain financial stability.
Coordinate activities and provide documentation for external auditors.
Requirements
7+ years of progressive experience in accounting and finance, CPA preferred
Experience building processes from 0 → 1; Startup experience strongly preferred
Manufacturing/Supply Chain experience a plus
Deep understanding of accounting principles and practices
Ability to analyze financial data to identify trends and inform decisions
Skill in using financial and accounting software. Familiarity with Quickbooks but also larger systems like NetSuite or SAP
Willingness to take on varied tasks and operate in a fast-paced, 'multiple hats' startup environment.
Benefits
Employee Stock Options
Paid time off
Medical/dental/vision insurance
Life insurance
Disability insurance
401(k)
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard skills
financial statementsGAAPaccounts payableaccounts receivablepayrollgeneral ledger maintenancebudgetingfinancial forecastingfinancial analysisprocess development
Soft skills
strategic decision-makingfinancial insightscommunicationproblem-solvingadaptabilityteam collaborationleadershiporganizational skillsattention to detailanalytical thinking