Team Member
Team Member
(610) 964-3316
(614) 441-7064
and access,
Maintains executive responsibility for financial operations, including working capital, capital expenditures, risk management, treasury (debt & covenant management), budgeting and forecasting, pricing, general accounting and personnel management. Establishes and maintains cash flow management policies and procedures, to ensure cash resources were available for daily operations and business and product development. Set-up and/or oversees financial and operational controls and metrics within the organization. Managed year end external audit reports. Analyzes current and future business operations and plans to determine financial effectiveness.Assists in acquisition due diligence and integration. Multiple implementations of accounting systems conversions. Manages outside lending and equity relationships, as well as relations with investors and shareholders. Prepared/provided financial reports and / or data for federal, state, or other third-parties, to ensure compliance with GAAP, IRS, and other taxing authorities.