Ensure compliance with accounting standards and accountability to internal budgets and plays an integral part in the organization, reporting, and optimization of STAND DESK’s financial structure.
Job Description
- Lead efforts to maintain a surplus of cash through equity & debt financing
- Responsible for all things accounting related (financial statements, tax prep., reporting, etc.)
- Identify areas of strategic growth and operational efficiency across the business and advise on investment into these areas
- Own the budgeting and forecasting process, including revenue, workforce and expense planning
- Deliver in-depth analysis of business KPIs and make recommendations on process/policy improvements
- Partner with internal legal and outside advisors to set up financial systems, legal structures, processes and procedures for the Company including for expansion into new international markets
Qualifications
- 5+ relevant experience (ex: Finance, FP&A, Investment banking, strategy, management or consulting)
- Proven track record of holding organizations accountable to their budgets, of controlling and optimizing cash flow and improving internal financial processes
- Experience in cross border accounting – Canada, US and EU a plus – and are used to working in organizations with multiple subsidiaries operating in different jurisdictions
- Very detail oriented, with ability to “make the step back” and discuss high level with the executive team
- Experience managing other accounting professionals
- Highly organized, with an ability to juggle several tasks at once and interface with remote teams
- Spreadsheet wizard; working knowledge of ERP systems
Additional Information
All your information will be kept confidential according to EEO guidelines.