Finance professional with over 20 years of experience in financial reporting, analysis, and forecasting. Proven ability to develop and implement process improvements to increase efficiency and profitability.
Responsible for all accounting and Finance functions including cash management, insurance, and compliance. Review and approve monthly reports and budgets.
Responsible for all aspects of financial planning, forecasting, and analytical support for the operations of the company. Including the development of a new product line, customer service, and sales.
Prepared and presented business plans and forecasts for engineering and product development. Managed the financial model for the company.
Created and implemented a sales compensation plan for the company. Used financial models to create business plans and strategic planning.
Developed and implemented a business plan for the company to improve the company's financial performance and drive business growth. Created a new product costing model.
Manage business development and financial models for the company. Analyze and report on key performance indicators. Provide recommendations to improve profitability and growth.
Prepares and analyzes monthly, quarterly and annual reports for payroll, inventory, and labor. Research and analyze variances.
Responsible for all financial reporting, consolidation, and audits for the warehouse operations. The company has a strong reputation for the ability to manage and maintain the company's financial records.
Prepare monthly and quarterly financial reports for the executive team. Analyze and interpret the variances between actual and budget.
Maintained spreadsheets for tracking and tracking of all incoming and outgoing mail. Assisted with the development of a new product line.
Managed and maintained the company's accounting system, including the chart of accounts. Developed and implemented a new chart of accounts.