Position Summary:
The primary purpose of this position is to develop and implement financial management strategies throughout all functions of the company, as well as ensure compliance with financial requirements and principles. In addition this role will be assist in the coordination of all SunSource audits, financial analysis of acquisition opportunities, and the annual budget process.
Responsibilities:
1. Audit Compliance – Assist in coordination of all audits of SunSource which consists of the annual external audit, sales and use tax audits, and annual bank audits.
2. Tax Compliance - Assist Corporate Controller with our tax liability and make estimated payments. In addition, assist with tax planning and cost savings strategies.
3. Risk Management - Coordinate the annual general insurance contracts with our insurance carriers, as well as be the primary contact on insurance claims.
4. Treasury and Cash Management – Assist in monitoring treasury activities with the treasury manager, and negotiate leases terms on major capital projects.
5. Financial Reporting – Assist in the preparation of the monthly financial package for the board of directors, monthly internal financials as well as the published annual report, including footnotes. Responsibility for intercompany reconcilation and companywide consolidation
6. Fixed Assets-Responsible for fixed asset management and capital approval process
7. Financial Analysis - Evaluate potential acquisition candidates by performing due diligence, and perform high level analytics on cost and pricing initiatives.
8. Budgeting/Forecasting – Assist in the annual budgeting process and assist in preparing the board of director’s presentation.