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NC
NAES Corporation
Finance Manager
Career Insights for Financial Manager (General)
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What they do
A Financial Manager directs and plans the financial activities of a company or organization. Prepares financial statements and business activity and forecasting reports; supervises accounting and preparation of financial reports; advises management with regard to finance decisions.
$151,337 / year median in Texas
+12% projected growth
Job Description
Opportunity Summary This position will be responsible for reviewing and/or preparing financial information and accounting schedules, including financial statements for the funds' portfolio companies. This position will also require contact with Rockland's investors, investment professionals, Funds & management company, portfolio company personnel and lenders. Qualified candidates must be able to work independently, with minimal supervision, in a fast-paced environment.
Responsibilities and Duties:
Monthly Close- Coordinate and review the month end, quarter end and year end portfolio companies' financial closing
Including:
Prepare/review the OCI calculation for both commercial hedges and interest rate swaps Ensure all invoices are either entered or accrued for during close Assist Portfolio Companies' accounting managers to ensure all invoices and maintenance activity are properly accounted for in accordance with US GAAP and policies & procedures Review bank and inventory reconciliations of Portfolio Companies Review portfolio company monthly closing package Oversee the intercompany account reconciliation process Consolidated Reporting- Review the consolidating financial statements, including elimination entries
FINANCIAL & MANAGEMENT REPORTING
- Review and analyze monthly financial and management reports.
ACCOUNTING RESEARCH
- Research accounting issues for compliance with US generally accepted accounting principles and assist in implementation of newly issued pronouncements.
TREASURY
- Assist with the treasury function for the Portfolio Companies, including review of monthly funding request and preparation of cash forecasts.
DEBT COMPLIANCE
- Responsible for handling lender correspondence and activities such as monthly funding certificates, diligence requests, draw requests, and quarterly covenant reporting for banks.
INTERNAL CONTROLS
- Implementing and maintaining reporting procedures to comply with internal control requirements; oversee disbursement activities of the Portfolio Companies to ensure policies and procedures are properly followed;
BUDGETING
- Coordinate the annual budgeting process for Portfolio Companies including; review the budget prepared by plant personnel, prepare a budget review package for Rockland asset management team and lead Rockland asset management team review of the budget. OTHER
- Various other special projects and other duties as assigned.
RELATIONSHIPS & TRAINING
- Developing and maintaining strong working relationships with the locations served, and train and educate Portfolio Accounting Personnel on policies/procedures and potential areas of concern.
EXTERNAL & OTHER CONSULTANTS
- Coordinating the annual external audits for the financial statements, external tax preparer and third party valuation process as required.
- MS Word and Excel experience required QuickBooks accounting software experience preferred Strong organizational skills Excellent communication skills
- both written and oral Effective leadership skills
- ability to teach and supervise staff accountants Demonstrated ability to work effectively as part of a team Willingness to learn Must possess and maintain a valid Drivers License at all times About