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Job Description & How to Apply Below
This pivotal position requires you to be the operational backbone of the Corporate Finance & Strategy function. You will manage financial closes, forecasts, and oversee cross-functional reporting while collaborating with senior leadership.
Your role will support decision-making that drives business improvements and capitalizes on growth opportunities in the collectibles space.
Key Responsibilities:
• Facilitate financial close processes and variance analysis
• Own quarterly forecasting process and collaborate with teams
• Produce detailed operational and budget variance reports
• Maintain accurate headcount reporting and data integrity
• Prepare comprehensive board materials and executive summaries
Requirements:
• 2–4 years of finance experience in high-growth settings
• Strong skills in financial planning and reporting
• Proficiency in financial systems like Adaptive Insights
• Organized and detail-oriented approach to tasks
• Bachelor's degree in relevant field required
Utilize your financial acumen to advance Collectors’ goals in the collectible industry.
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