Schedule: Mondays-Fridays; may need to work after office hours as needed
Job Title: Finance Manager
About the Role:
We are looking for a proactive and strategic Finance Manager to lead the financial operations of our growing organization. In this pivotal role, you will not only drive fiscal discipline and regulatory compliance but also champion collections efficiency and innovative financial practices to support growth and sustainability.
Key Responsibilities:
Financial Strategy & Cash Flow
Assist in crafting financial strategy and managing capital initiatives
Optimize cash flow through improved collections and receivables management
Continuously improve working capital by accelerating collections and streamlining billing cycles
Develop rolling forecasts and refine budget projections in line with business changes
Collections & AR Management
Lead and implement best-in-class collections strategies to reduce DSO (Days Sales Outstanding)
Monitor customer accounts, ensure timely invoicing, follow-up, and escalations as required
Collaborate with Sales and Operations to resolve billing disputes and enforce credit policies
Provide regular dashboards and analysis on collection performance to senior leadership
Accounting & Controls
Oversee general accounting, including ledger maintenance, financial closings, and reporting
Prepare audited financial statements and lead internal control reviews
Reconcile balance sheet accounts and ensure fiscal discipline across business units
Innovation & Process Optimization
Identify and implement financial innovations, tools, and automation opportunities
Streamline financial processes and introduce technology solutions for improved accuracy and efficiency
Benchmark financial practices and introduce enhancements to keep pace with industry best standards
Governance & Compliance
Ensure adherence to national and local regulations (e.g., CRA, ESA, CLC)
Design and enforce SOPs for budgeting, reporting, tax compliance, and internal audits
Taxation & Risk Management
Coordinate tax filings and SR&ED claims with external accountants
Lead tax planning initiatives and ensure all licenses and permits are compliant
Manage corporate risk by overseeing liability exposures and capital structure
Leadership & Business Partnering
Lead the finance team and oversee financial IT systems
Collaborate cross-functionally to support customer onboarding, contract negotiations, and financial alignment with business goals
Support departmental budgeting and advise department heads on financial implications of business decisions
Stakeholder & Relationship Management
Maintain strong relationships with banks, vendors, auditors, and internal teams
Report key financial metrics to senior leadership, including weekly CEO updates
Qualifications & Skills:
10+ years of progressive accounting experience, including 5+ years in a managerial role
Professional accounting designation (CPA / CA / ACCA / ACA). Must be a qualified Chartered Accountant (CA) from India, with strong grounding in accounting standards and compliance framework
Master’s degree in Finance, Accounting, or Business (or equivalent experience)
Proven experience in collections, AR optimization, and cash flow enhancement
Demonstrated ability to innovate financial processes and adopt new tools or technologies
Strong interpersonal, analytical, and leadership skills
Background in high-volume, multi-entity, or international environments is an asset
On-site work is required
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