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Finance and Accounting Lead

hace 2 meses


Medellín, Antioquia, Colombia Mas Global A tiempo completo

About You

You thrive in environments that foster growth and innovation, adapting alongside the technological advancements we are implementing. Your passion for working in diverse settings drives you to support both clients and colleagues, viewing constructive feedback as a pathway to personal and professional development. You prioritize the growth and well-being of yourself and those around you.

If you are eager to contribute to a purpose-driven organization while helping our talent in Latin America reach their full potential, this position offers a significant opportunity to influence the future of a company.

About Us

MAS Global embodies the spirit of 'More' in Spanish, reflecting our commitment to creating educational opportunities for women and Latinos in technology. Our founder's journey from a low-income neighborhood in Medellin to becoming a prominent figure in the tech industry in the US exemplifies our mission.

Headquartered in Tampa, Florida, with a robust presence across Colombia, Argentina, and the broader LATAM region, we provide our North American clients with access to both onshore and nearshore tech talent. Our services range from Full Stack Software Engineering and Digital/Cloud Modernization to an expanding focus on Data Engineering and AI. Our diverse team, representing ten nationalities, is supported by a decade of proven success with recognized corporations.

MAS is a majority Hispanic and women-owned enterprise, honored with numerous accolades, including recognition as a Great Place to Work and one of the fastest-growing companies in the US.

Position Overview

We are in search of a dedicated and experienced Accounting and Finance Manager to oversee and engage directly in our Finance and Accounting functions. This role is primarily focused on Accounting (75%) while also encompassing essential Finance responsibilities (25%). The ideal candidate will excel in managing daily accounting tasks, leading financial closing processes, ensuring strong financial controls, and supporting various accounting and finance initiatives as needed. This position requires a professional capable of balancing strategic oversight with hands-on involvement, adjusting focus according to workload and business demands.

Key Responsibilities:

Accounting Oversight (75%): Lead and actively engage in month-end and quarter-end closing activities, ensuring precision and timeliness. Prepare and review journal entries, conduct detailed account reconciliations, and analyze discrepancies. Participate directly in closing processes to guarantee compliance and financial accuracy. Financial Reporting: Prepare and review comprehensive financial statements and reports in alignment with GAAP and IFRS standards. Engage in the preparation and presentation of reports, ensuring they accurately depict the company's financial status. General Ledger Management: Maintain the integrity of the general ledger through active participation in daily accounting transactions. Conduct hands-on reconciliation of balance sheet accounts, identifying and rectifying discrepancies. Audit and Compliance: Assist with internal and external audits through thorough documentation and active participation. Implement and uphold compliance with accounting policies and regulatory standards. Accounts Payable/Receivable Management: Oversee and participate in processing invoices, payments, and receipts to ensure efficiency and accuracy. Actively manage credit control processes to optimize cash flow and minimize bad debts. Finance Oversight (25%):

Financial Planning and Analysis: Contribute to budgeting and forecasting, providing hands-on support with data preparation and analysis. Conduct detailed financial analysis to identify trends, variances, and opportunities for financial enhancement. Cash Flow Management: Monitor and manage cash flow to ensure sufficient liquidity, engaging directly with operational tasks as necessary. Actively manage accounts payable and receivable processes to support optimal cash flow management. Tax Oversight: Oversee and engage in the preparation and filing of tax returns, ensuring compliance with local, state, and international tax regulations. Read and interpret US company tax returns to support accurate tax filings and strategic tax planning. Implement tax optimization strategies to effectively reduce the company's tax burden. NetSuite Administration: Serve as the hands-on administrator for NetSuite, managing configurations, user access, and data integrity. Collaborate with IT and other departments to implement system enhancements and resolve any issues that arise. Financial Controls and Compliance: Implementation and Maintenance of Financial Controls: Develop and enforce robust financial controls to protect company assets and ensure the integrity of financial records. Conduct regular reviews and assessments of financial processes and systems to identify areas of risk and implement improvements. Compliance with Standards and Regulations: Ensure adherence to internal financial policies and external regulatory requirements. Regularly update and refine financial policies and procedures to keep pace with business growth and regulatory changes. Risk Management: Identify financial risks and implement mitigation strategies to safeguard the company's financial position. Engage in proactive monitoring and reporting to senior management on the status and effectiveness of financial controls. Leadership and Team Development: Lead by example, actively participating in daily operations and providing hands-on support to the finance and accounting teams. Mentor and guide team members, offering training and development opportunities to enhance their skills. Manage and adjust workloads within the team to ensure all tasks are completed accurately and on time, based on current needs and priorities. Qualifications: Bachelor's degree in Accounting, Finance, or a related field; CPA/CMA or equivalent certification is highly preferred. Minimum of 5-7 years of progressive experience in accounting and finance roles, with at least 3 years in a managerial or senior capacity. Extensive hands-on experience in general ledger management, financial reporting, and month-end/quarter-end closings. Strong understanding of GAAP is essential. Proficiency in reading and interpreting US company tax returns and implementing tax strategies. Practical experience with financial software, particularly NetSuite, with the ability to manage and troubleshoot system issues. Proven leadership skills with a hands-on approach to managing and developing a team. Strong analytical, problem-solving, and organizational skills with meticulous attention to detail. Effective communication and interpersonal skills, capable of working closely with all levels of the organization. Ability to juggle multiple priorities in a dynamic, fast-paced environment. Applicants must possess a minimum proficiency level of B2 in English according to the Common European Framework of Reference for Languages (CEFR). Benefits: English Class. Development: continued learning and certification reimbursement, technical development learning. MAS Kids club. And other special benefits.

Why You'll Appreciate Working Here: We believe in MAS = MORE

OUR VALUES

ALL-IN: We are proactive, engaged, agile, accountable, and uphold integrity. TOGETHER WE ARE MORE: We foster collaboration and teamwork. STAY CURIOUS: We are innovative and committed to lifelong learning. MAS EXPERIENCE: We embody the promise that MAS is More. WE CARE: We prioritize our people, clients, community, and the planet.