Responsibilities
- Monitor key performance indicators and produce management reports that support decision-making
- Develop annual investment plans and maintain updated financial forecasts
- Conduct monthly financial variance reviews and report on organizational performance
- Manage financial operations using QuickBooks, including cost center oversight, reconciliations, and reporting
- Collaborate with external accounting and audit firms to verify financial statement accuracy
- Coordinate with external advisors and key stakeholders to implement and manage public funding programs such as PT2030
Work Arrangement
Hybrid