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+ years of relevant experience (e.g., Finance, FP&A, Investment banking, strategy, management or consulting). Proven track record of holding organizations accountable to their budgets, controlling and optimizing cash flow, and improving internal financial processes. Experience in cross-border accounting – Canada, US, and EU a plus – and used to working in organizations with multiple subsidiaries operating in different jurisdictions. Very detail-oriented, with the ability to “step back” and discuss high level with the executive team. Experience managing other accounting professionals. Highly organized, with the 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. #J-18808-Ljbffr StandDesk
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