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Dublin, Ohio Accede Solutions Inc
Manager, Financial Planning & Analysis
Contract 6+ months
Remote until Covid-19

Finance is responsible for the accounting, tax, financial plans and policies of the organization, establishing and maintaining fiscal controls, preparing and interpreting financial reports, oversight of financial systems, strategic decisions and support, and safeguarding the organization's assets.
Financial Planning & Analysis is responsible for being objective and strategic financial partners, leading cross-functional effort to drive relevant, flexible and efficient financial planning and analysis that supports our key business decisions.
* Analyzes business trends; leads and aligns financial forecasts and long-range planning processes with our business leaders. Drives business value by providing financial and analytical counsel to facilitate decision-marking around strategic business initiatives.
* Prepares monthly financial reporting including variance and financial statement analysis. Able to clearly communicate a cohesive and concise story around business drivers behind financial data and potential implications on future results.
* Builds financial models and scenarios as a key input for business planning decisions in areas such as capital deployment, sourcing, product development, marketing strategies, and acquisitions.
* Handles annual budget processes, incorporating business initiatives, economic trends and operational efficiency. Aligns' budget to business strategies and gains alignment from business partners.
* Performs customer and product profitability analysis and makes investment and pricing decisions. Finds opportunities to drive revenue growth, margin expansion and a more favorable mix (i.e., driving preferred products and services).
* Understands market dynamics and competitors. Conducts sophisticated analysis, synthesizes and summarizes implications to business, influencing business partners using analytics and business understanding.
* Identifies and executes upon operational improvement opportunities. Demonstrates proficiency of technical tools and financial systems.
* Serves as an objective financial steward with an enterprise perspective, safeguarding our company's assets. Ensures controls are in place and the company's intellectual property is protected.
Responsibilities
* Business partnering - partner with leaders to supervise and analyze business performance, find opportunities for improvement, and project future financial performance
* Market analysis - review, analyze, and communicate to leadership market trends, competitor positioning, and market opportunities
* Reporting - prepare monthly/quarterly/annual financial reports, including financial statement, variance analysis, and key business drivers
* Budgeting and forecasting - facilitate the process that aligns with Corporate and business unit guidance and targets, including the impact of market trends, key business initiatives and drivers, and operational dynamics
* Communications - proactively engage, align and support related functions, such as Controllership, management and external reporting, audit, and organizational initiatives
* Operational improvement - identify and execute improvement opportunities that improve the efficiency and effectiveness of the FP&A process
* Policies and procedures - review, monitor and lead all aspects of compliance with finance accounting policies and procedures, including the risk and control environment
* Dynamic environment - exhibit proactive and leadership skills that are flexible and adaptable to a changing business dynamic
Qualifications
Minimum qualifications
* Bachelor s degree in related field, or equivalent work experience
Preferred qualifications
* Relevant domain experience
* Proficiency in FP&A reporting and forecasting tools, and Excel/ PowerPoint
* Solid understanding of Anaplan will be Plus
* Solid understanding of Tableau or related tools like QlikSense, Power BI will be an advantage
* Experience in ZBB implementation is a good to have
* Prior team leadership skills
* Effective interpersonal skills

- provided by Dice

Dublin, Ohio Accede Solutions Inc
Manager, Financial Planning & Analysis
Contract 6+ months
Remote until Covid-19

Finance is responsible for the accounting, tax, financial plans and policies of the organization, establishing and maintaining fiscal controls, preparing and interpreting financial reports, oversight of financial systems, strategic decisions and support, and safeguarding the organization's assets.
Financial Planning & Analysis is responsible for being objective and strategic financial partners, leading cross-functional effort to drive relevant, flexible and efficient financial planning and analysis that supports our key business decisions.
* Analyzes business trends; leads and aligns financial forecasts and long-range planning processes with our business leaders. Drives business value by providing financial and analytical counsel to facilitate decision-marking around strategic business initiatives.
* Prepares monthly financial reporting including variance and financial statement analysis. Able to clearly communicate a cohesive and concise story around business drivers behind financial data and potential implications on future results.
* Builds financial models and scenarios as a key input for business planning decisions in areas such as capital deployment, sourcing, product development, marketing strategies, and acquisitions.
* Handles annual budget processes, incorporating business initiatives, economic trends and operational efficiency. Aligns' budget to business strategies and gains alignment from business partners.
* Performs customer and product profitability analysis and makes investment and pricing decisions. Finds opportunities to drive revenue growth, margin expansion and a more favorable mix (i.e., driving preferred products and services).
* Understands market dynamics and competitors. Conducts sophisticated analysis, synthesizes and summarizes implications to business, influencing business partners using analytics and busi