Contact Us 877.823.3669

Finance Manager in Princeton, NJ at SNI Financial

Date Posted: 7/13/2018

Job Snapshot

Job Description

Finance Manager will be responsible for providing financial insights and accountability across support and analytics to the Asst. Controller. Duties include, but not limited to: revenue and expense results and forecast - including the annual budget and strategic plans, marketing program effectiveness and support. Additionally, the Finance Manager will play a major role in the gathering and reporting of the monthly and quarterly results. Other detailed analyses will be required on an ad hoc basis.


  • Develop and create robust cost controls, reporting and accountability in the organization assist with policy and process creation to enhance the financial reporting, budgeting and forecasting process
  • Consolidating and reporting monthly budget vs. actual gross to net operating expenses and providing meaningful insights to the business
  • Budgetary support for department cost centers, forecasting, project estimates
  • Forecasting the near-term P&L and providing guidance to the business
  • Owning the development and preparation of the monthly/quarterly business financial review package which is presented to the leadership team
  • Develop key performance indicators / dashboard to be shared and presented to leadership team
  • Evaluate cash burn / cash flow statements to provide recommendations to leadership
  • Develop capital budgeting process and policy
  • Working closely with the accounting team to support the monthly close process, which may include preparing journal entries for accruals, reclassifications, etc.
  • Develop gross to net overviews, highlighting risks / opportunities vs Budgets and Targets
  • Build strong reporting relationships with business partners at all key stakeholders within each department to improve communication and understanding of the business
  • Assisting with the overall achievement of the company's financial targets
  • Providing financial support to evaluate the annual budget, the long-term strategic business plan, and the periodic forecasting processes
  • Analyzing and interpreting financial data and transferring that data into meaningful and focused information and reports to drive performance results and action
  • Prepare ad hoc analyses as needed


  • Minimum B.S. / B.A. in accounting or finance; CPA and/or MBA preferred
  • Minimum 6 years of experience in financial role, including financial planning and P&L reporting in a pharmaceutical company
  • Detail oriented; strong interpersonal communication skills in conjunction with the ability to interact with all levels in the organization are a must
  • Strong Excel and PowerPoint skills, including charting and custom views/formatting
  • Highly motivated self-starter with the ability to manage multiple responsibilities
  • Strong analytical skills, intellectual curiosity and communication skills are required