Description:
SUMMARY:
This position will work directly under the Director of Finance to manage, audit, and streamline the Accounting and Finance function for Sugaright, LLC, a wholly owned subsidiary of CSC Sugar, LLC. Candidate will work within a team of five that manages full cycle AP, AR, inventory and cost accounting, cash management, monthly close & financial statement production, and annual and long-term financial planning and analysis for a $700m+ revenue manufacturing business with six domestic liquid sucrose manufacturing facilities. The ideal candidate will have 5+ years of experience in progressively senior Finance and/or accounting roles and a desire to join a growing team and business seeking to mature its accounting processes and controls.
This will be an in-office role based in Sugaright's corporate headquarters in Fairless Hills, PA. Travel may comprise up to 20% of time for this role on an as needed basis.
Primary job responsibilities include (But not limited to):
- Fixed Assets:
- Maintain capital asset ledgers for all locations (9 total).
- Develop and implement best practices for recording capital transactions from Procure/Pay to Capitalization/Depreciation.
- Balance Sheet reconciliation, asset tracking/tagging, and adherence to GAAP treatment of capital expenditures.
- Evaluate and reconcile current fixed asset inventory consisting of ~3,000 assets at over $40m in NBV.
- Updating ledgers to capture disposals, additions, or relocations as needed.
- Work with VP of Engineering, CEO & Director of Finance to analyze critical metrics of capital projects (ROI/ROE, NPV, IRR).
- Develop capital cash flow forecasts based on project schedules and PO records.
- Complete post-commission financial analysis of all significant projects.
- Validate financial outcomes used in project justifications (operating cost savings, headcount reduction, throughput increase, etc)
- AP, AR, Cash Management:
- Oversee and audit current AP process from vendors.
- Supervise invoice receipt & approval and coding to ensure internal policies are followed.
- Ensure GL coding is consistent across sites and vendors.
- Oversee and audit current AR process from order shipment to invoicing and collection.
- Manage use of vendor-specific EDI invoice uploads and early pay/supply chain finance tools for 12+ customers with extended payment terms.
- Work with Sr Accountant and Treasurer to forecast cash flow needs for $3-4m in average weekly outgoing payments.
- Support implementation of new corporate card program in compliance with IRS and Company T&E guidelines.
- FP&A and Other Duties:
- Assist in development and preparation of annual operating budgets.
- Review and analyze data for accuracy, consistency and cost saving opportunities.
- Review financial statements monthly and analyze variations of actual results against budget and prior period.
- Identify actionable feedback for operations leaders to improve cost performance.
- Support sales function by validating customer pricing models.
- Compare and contrast actual cost buildups to sales models to reconcile any deviations from expected margin and volume.
- Lead preparing responses to all external audits including typical annual third-party audit and 3-6 ad-hoc audits annually from lenders, insurers, and government entities.
Requirements:
- Bachelor's degree in finance, Accounting, or related field.
- Strong Excel skills required, experience with Microsoft Dynamics GP a plus
- Experience in manufacturing or commodities industry a plus
- CPA/MBA/CMA not required but would plus
- Public Accounting experience not required but would be a plus
- Fluency in English - written and spoken required (Spanish fluency preferred but not required).
- Understanding of Full Cycle AP, AR, Inventory and Cost Accounting.
- Intimate familiarity of Cash Management, Monthly close and Financial statement generation.
- Comprehensive knowledge of Annual + long term Financial planning and Analysis.
Compensation details: ~~~00 Yearly Salary
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