ZoomOnline

Finance Manager

Dallas, TX · Full time

Finance managers analyze every day financial activities and provide advice and guidance to upper management on future financial plans. They are the root of all major business decisions and their role is crucial to the success of our organization.

Description

ABOUT US

ZoomOnline aims to provide an exceptional customer experience by offering fast, uncapped, affordable Wi-Fi-enabled internet service. Connecting exclusively through Zoom Technology Group’s fiber infrastructure and network. We are a customer-oriented business that prides itself on exceptional service delivery. We are a collaborative, creative, entrepreneurial team building a vibrant and dynamic brand where people who want to make a difference can grow their careers.

The Finance Manager works with senior management to develop financial strategies as well as reporting on financial health of the organization. Ideal candidate must be comfortable handling large amounts of data, acting as a business partner, decision maker, and providing regular financial reporting.

DUTIES INCLUDE, BUT ARE NOT LIMITED TO
  • Financial Reporting, creating financial reports, ensuring compliance with tax filing and financial reporting standards, and overseeing the development of the company’s finance departments
  • Risk Management, focusing on risk management and compliance with finance-related laws, procedures, and regulations
  • Data Analysis, conducting accurate data analysis and advising senior management on strategies to maximize profits
  • Financial Planning, overseeing the organization’s internal budget and finances, including bank transactions, loans, debts, and other sources of funding
  • Financial Strategy, developing plans for the organization’s long-term financial goals, and advising senior managers on profit-maximizing ideas and risks
  • Taxation: Overseeing taxation issues
QUALIFICATIONS
  • Bachelor’s degree or higher in Finance or Accounting
  • CPA / CMA or candidate in preparation… a plus
  • Five (5) years relevant work experience
  • Proficiency with Excel, Word, PowerPoint, and data mining tools like SQL and Access
  • Effective business and financial acumen
  • Advance math skills and the ability to use numerical information to express ideas and problems
  • Ability to motivate team members for higher productivity and efficiency
  • In-depth knowledge of finance and accounting, including GAAP, international finance, and complex financial documents
  • Strong analytical, decision-making, and business judgment skills, as well as the ability to synthesize complex data into actionable information
  • Strong communication skills to notify others of important decisions and keep the company running smoothly
  • Monitor cash accounts and transfer funds between checking and investment accounts review and approve documentation related to payroll
  • Manage accounts payable, accounts receivable, fare collection, bank reconciliations, and inventory.
  • Maintain and evaluate fixed asset accounts