Job Details
Job Description
The Contingent Plan is actively recruiting a finance and compliance manager for its client based in the Reno area. This is an exciting opportunity to join a company that is launching its US operations. The role reports to the US leadership and will have a big impact on the future of the organization. The role will be remote to start, but will shift to hybrid. Compensation is competitive and depends on experience.
Responsibilities:
- Develop budgets and financial models that coincide with the business plan and yearly forecast aligned with overall company goals and objectives
- Planning and overseeing initiatives for continuous improvement in all relevant sectors
- Manage third-party service providers, including accounting firm/s, auditors, AP/AR, banking, insurance coverages,
- Establish and maintain good relationships with internal and external stakeholders, including landowners, utility officials, local politicians, and other relevant parties
- Manage the legal and financial due diligence process with the support of team members
- Prepare financial models to assess the viability of each project
- Perform financial management duties including generating financial data, compiling, and submitting reports, analyzing industry trends and assessing the financial health of the company.
- Oversee the operations and development of the finance department including creating and reviewing policies, budgeting, recruiting, training and conducting regular assessments of financial procedures.
- Supervise the preparation of monthly, quarterly and annual account reconciliations, monitor and enforce compliance with tax and financial reporting standards and assist with cash flow forecasting.
- Advise colleagues and executive management on decisions related to the company's finances.
- Supervise the documentation of the company's financial status and forecasts.
- Mediate between the organization, employees, stakeholders, shareholders and investors on financial issues for amicable resolution of differences.
- Create strategic business plans based on the analysis of the company's status and financial forecasts.
Requirements- Bachelor's degree in finance, accounting, business, or similar degree. MBA or other graduate degree a plus.
- CPA or other professional certifications are also a plus.
- 10+ years of experience in finance, accounting, tax, and compliance.
- Proven track record of independently managing the financial side of complex, highly regulated companies including multiple subsidiaris.
- Prior international experience and/or energy industry experience a plus, but not required.
- Excellence communication skills in English. Additional language skills are a plus, but not required.