Sr. Director - Corporate Finance
YPM - Irvine
Work at YPM
Overview
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Overview
YPM, Inc. is seeking a highly skilled Sr. Director of Corporate Finance. In this position, you will play a key role in optimizing and executing the corporate financial strategy, and maintaining the essential operating systems and financial business of the company.
Responsibilities
- In collaboration with executive leadership, develop, implement, operate, and maintain the essential operating systems and financial business of the company.
- Deliver accurate and timely financial projections, forecasts, and analysis of relevant financial and operational information as required for leadership.
- Manage the monthly corporate financial process, including ensuring all costs incurred are properly recorded.
- Prepare corporate financial reports, general ledger reconciliations, and analytical reports in a timely fashion.
- Manage cash flow, prepare cash flow forecasts and revenue projects, and make recommendations for optimizing cash flow.
- Liaise with the Accounting Firm to ensure accurate financial results are recorded.
- Ensure compliance with local, state, and federal government agencies.
- Maintain corporate checking/bank accounts and invoices.
- Work with external auditors and provide needed information for annual audits.
- Oversee bank and credit card account management, recording and coding transactions, and monthly reconciliation and entering of credit line activity.
- Lead process with insurance brokers in designing, negotiating, placing, and managing lines of insurance (property, workers’ compensation, auto liability, general liability, and executive lines of insurance).
- Administer the day-to-day aspects of the company’s retirement plans, with the primary responsibility for the 401(k) plan to ensure that the third-party administrators are remaining compliant per ERISA and IRS guidance.
- Perform other related duties as requested by the President and shareholders.
Qualifications
- Bachelor’s degree in Finance, Accounting, Economics, or other business-related field.
- 10+ years of relevant work experience in corporate finance and bookkeeping; public accounting firm employment history a plus.
- 8+ years of MAS90/Sage 100 software experience or other ERP systems.
- Demonstrated financial acumen and/or experience in the areas of forecasting, budgeting, and variance analysis.
- Commitment to excellence and impeccable standards
- Strong ethical standards and the ability to maintain confidentiality in handling sensitive financial information.
- Strong analytical, strategic thinking, and financial modeling skills.
- Advanced Excel knowledge, including robust modeling, pivot tables, and complex formulas.
- Excellent verbal and written communication skills with the ability to interact effectively with executive leadership, senior level management, colleagues, and outside advisors.
- Must be highly detail-oriented with strong organizational, analytical, and problem-solving skills.
- Ability to adapt to a fast-paced and dynamic environment.