Financial Reporting Manager

AireSpring
Summary
Join AireSpring, a leading provider of cloud communications and managed services, as their new Financial Reporting Manager! This full-time, remote role offers an evening/night shift (IST) and involves managing the preparation and delivery of accurate financial statements. You will perform in-depth financial analysis, leverage SQL for data extraction and analysis, and utilize advanced Excel skills for reporting and modeling. The position requires strong collaboration with other departments and continuous improvement of financial reporting processes. This is an independent contractor role with no end date, offering flexibility and autonomy. The ideal candidate will possess extensive experience in financial reporting, SQL, and US/Canada regulatory and taxation.
Requirements
- Respectful approach to get information for other departments
- 5+ years of experience in financial reporting, a CPA or CA preferable
- 3+ years of experience in SQL data extraction. While expert level is not needed, the understanding of a data dictionary (JOIN clauses) is recommended
- Experience in the a) subscription MRC technology, b) telecommunications
- Experience in USA/Canada regulatory and taxation
- Experience with Microsoft Office, including Word, Excel, Access, and PowerPoint
- Knowledge of research methods and concepts
- Ability to work independently to regular cycles. Importantly, that must translate numbers into written reports or oral communications
- CA, CPA or MBA (with strong accounting and reporting experience)
- 5-8 years
Responsibilities
- Manage the preparation and delivery of accurate monthly, quarterly, and annual financial statements
- Provide in-depth analysis and insights into financial results, including variance analysis and key performance metrics. Key Performance Info (KPIs)
- Use SQL to extract, analyze, and interpret financial data
- Develop and maintain SQL queries to streamline reporting processes and enhance data accuracy
- Work with IT and other departments to improve data accessibility and support data integrity
- Projects including license management, feature pricing matrix, cost accounting mapping. e continue flow of revenue and cost matching
- This includes understanding of billing and collection system (SQL, Riverrock), taxation (Vertex, Suretax, TaxJar), vendor data extraction and analysis (converting data into SQL, Pivot)
- Leverage advanced Excel skills, including complex formulas, pivot tables, to perform detailed financial analysis
- Build, maintain, and optimize financial models to support forecasting and budgeting
- Automate repetitive reporting tasks using Excel Power Query, and other tools
- Provide support/work parallel with revenue assurance function to support data validations of billing close / review credits to customers
- Serve as a liaison between finance and other departments to support strategic initiatives and decision-making processes
- Continuously improve financial reporting processes by implementing best practices and identifying automation opportunities
- Maintain and strengthen internal controls over financial reporting
- Lead or assist in special projects as needed to support the finance department and business objectives
- Special Projects from management
- Review, audit or provide solutions on task assigned related to any issue or reporting
- Be creative enough to produce original reports and have the ability to develop reports / analysis from scratch
Share this job:
Similar Remote Jobs
