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Finance Manager (Hybrid 3 days Remote Aventura)

Job

Robert Half

Remote

$95,000 Salary, Full-Time

Posted 1 week ago (Updated 1 week ago) • Actively hiring

Expires 6/12/2026

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Job Description

We are looking for a Finance Manager to lead accounting operations and reporting of the US Hub to a globally recognized brand located in Aventura, Florida.
Location:
Aventura, FLSchedule:
Hybrid 3 days Remote (once acclimated)M-F, 8:00-4:30/flexible;Salary $90,000 - $100,000 (some stretch)
Bonus:
TBDBenefits:
generous % Medical paid for Employee, Holidays, 20 days' Vacation; + sick days, 401k+Match and other Employee Perks !
Company Overview:
Reputable brand in the beauty, skin and healthcare sector; well recognized as an industry leader of reputable products in Europe, with significant growth plans over North America.

This role reports to the US VP of Ops & Finance while working independently in the local office, oversees one staff and collaborates closely with the International HQ. The ideal candidate is hands-on and well balanced in Accounting and Financial reporting, and ready to join a driven culture during an exciting time of business growth plans. Experience reporting to an Int'l HQ is a big plus.
Responsibilities:
  • Direct day-to-day accounting activities, including oversight of payables, receivables review, and timely execution of high-priority payments within the U.S. time zone.
  • Prepare and post journal entries, manage ledger activity, and ensure transactions are properly classified and recorded.
  • Complete bank and account reconciliations while analyzing balance sheet and income statement activity for accuracy and consistency.
  • Produce financial statements and support the monthly close cycle by delivering reliable reporting to corporate stakeholders.
  • Evaluate budget-to-actual results, investigate variances, and provide clear explanations to leadership.
  • Develop recurring and ad hoc reports related to cash flow, profit and loss, and other financial performance metrics.
  • Partner with supply chain and other internal teams to resolve cost discrepancies, freight-related issues, and inventory reconciliation matters.
  • Coordinate audit and tax support materials for external advisors and help ensure documentation is complete and well organized.
  • Strengthen internal controls, uphold compliance with U.
S. accounting requirements, and identify opportunities to streamline financial processes.

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