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Financial Manager

1 week ago


Guelph, Ontario, Canada LUMINOR Environmental Inc. Full time
Job Description

As a Financial Manager at LUMINOR Environmental Inc., you will play a pivotal role in all financial activities within the company. Your primary responsibility will be to ensure compliance with financial regulations and provide accurate financial reporting to support informed decision-making. You will report directly to the CFO and oversee the company's financial reporting, budgeting, forecasting, and internal controls. This is a highly strategic position that requires a proactive individual with strong leadership skills, technical accounting expertise, and a deep understanding of financial analysis and forecasting.

Key Responsibilities:

- Lead the preparation of accurate and timely financial statements, including income statements, balance sheets, cash flow statements, and equity reports, in accordance with Canadian GAAP and IFRS.
- Provide insightful analysis of financial results, trends, and variances to support strategic business decisions.
- Lead all external audits, ensuring full compliance with statutory regulations and internal policies.
- Prepare and submit all regulatory filings, ensuring compliance with all federal, provincial, and local laws.

Budgeting & Financial Forecasting:

- Assist in the development of the annual budgeting process, working closely with department heads to align budgets with company objectives and operational goals.
- Regularly monitor financial performance against the budget, providing detailed variance analyses and identifying areas for cost optimization and revenue growth.
- Develop and maintain long-term financial models to forecast company performance, ensuring robust planning for business expansion and future investment.

Internal Controls & Compliance:

- Design, implement, and maintain effective internal control systems to safeguard company assets and ensure the integrity of financial reporting.
- Regularly review financial processes and recommend improvements to enhance efficiency and minimize risk.
- Ensure compliance with all legal, regulatory, and corporate governance requirements.
- Work closely with the CFO and external consultants to ensure the company adheres to all taxation, audit, and financial compliance requirements.

Team Leadership & Development:

- Oversee, mentor, and develop the accounting team, fostering a collaborative and results-driven work environment.
- Provide regular performance feedback, establish goals and objectives for the team, and promote professional development.
- Collaborate across departments to ensure smooth financial operations and alignment with company-wide objectives.

Cash Flow & Treasury Management:

- Manage day-to-day cash flow operations, ensuring sufficient liquidity to meet short-term obligations while supporting long-term growth.
- Monitor working capital and recommend strategies to optimize cash flow, including inventory management, accounts receivable, and accounts payable.
- Partner with the CFO to evaluate capital investment opportunities, ensuring optimal allocation of resources.

Process Improvement & Systems Integration:

- Identify opportunities to streamline financial processes and improve efficiencies through automation and technology integration.
- Lead the continuous improvement of financial systems, collaborating with IT and operations teams to ensure accurate and reliable financial data.
- Serve as a key point of contact for the implementation of new ERP systems or updates, ensuring alignment with company goals and accounting best practices.

Strategic Planning & Support:

- Provide financial insights and recommendations to the executive leadership team to support long-term business strategy and growth initiatives.
- Assist with the preparation of board reports and presentations, delivering clear and concise financial information to stakeholders.

Qualifications & Skills:

- Education: Bachelor's degree in Accounting, Finance, or a related field. CPA designation required.
- Experience: A minimum of 3-5 years of experience in financial management or a senior accounting role, preferably in a manufacturing or technology-based environment.
- In-depth knowledge of Canadian GAAP and IFRS, with proven experience in financial reporting, compliance, and budgeting.
- Advanced proficiency in financial software with strong Excel skills for financial modeling and data analysis.
- Excellent organizational, leadership, and communication skills, with the ability to manage multiple projects and deadlines simultaneously.
- Strong attention to detail with a focus on accuracy, efficiency, and continuous improvement.
- Experience in managing audits and tax compliance in a complex, multi-jurisdictional environment.
- Demonstrated ability to work collaboratively with cross-functional teams and influence decision-making at all levels of the organization.
- Strong analytical skills and a proactive approach to solving complex financial issues.

Key Competencies:

- Leadership and team development
- Financial acumen and business insight
- Problem-solving and critical thinking
- Process improvement and change management
- Collaboration and communication skills
- Ethical and professional integrity

Working Conditions:

- Primarily office-based with extended periods of sitting and working on a computer.
- Flexible working hours may be required during critical reporting periods.

About Us:

LUMINOR Environmental Inc. is a leader in the industry, with back-to-back Deloitte Fast 50 and Deloitte Technology Fast 500 awards in 2021, 2022, and 2023. We believe in creating and providing innovative Ultraviolet (UV) water disinfection solutions for home, industry, and regulated markets around the world.