TRCTalent is working alongside a leading data center firm as they search for a Finance Manager who will be responsible for the day‐to‐day financial analysis and oversight of a portfolio of managed data center facilities. They will work directly with the finance team, outside departments and assigned customers to provide excellent financial analysis and reporting as required. The ideal candidate will have a have a proven track record as a financial business partner, superior financial modeling capabilities, and be proficient in the use of financial systems and tools to manage processes and data efficiently.
Responsibilities
 Manage and prepare internal budgets for each data center in the portfolio 
 Work closely with Account Directors, site leaders, and customer representatives to manage costs in accordance with approved budgets 
 Review monthly financial results prepared by team members, and collaborate with accounting and operations to maximize financial clarity and minimize noise 
 Produce and distribute timely and accurate monthly financial reports for each data center and at a consolidated level including insightful variance analysis commentary 
 Prepare and submit monthly, quarterly and annual internal forecast for each data center in the portfolio 
 Prepare and review monthly customer payroll billing and ensure timely and accurate submission of monthly billings to customers in accordance with contract requirements 
 Reconcile customer billings to job cost and general ledger monthly 
 Provide Account Directors and site leaders with financial information needed for external, customer forecasts 
 Conduct weekly meetings with each Account Director to review all relevant financial matters and create plans for follow-up items 
 Lead and be an integral part of the periodic business review meetings with the customers’ executive management team to report financial results and forecasts of the portfolio 
 Document and oversee financial policies and processes for specific customer deliverables 
 Review monthly non-billable expenses with Account Directors and site leaders to ensure compliance with agreed upon contract terms 
 Prepare and distribute weekly accounts receivable reports for each customer in the portfolio 
 Track and maintain accurate financial records for each customer at the purchase order level 
 Maintain constant awareness of the business unit’s financial position and proactively act to prevent problems 
 Assist with process-improvement, automation, systems integration and enhancement projects as assigned 
 Assist with other duties as assigned 
 Adhere to financial laws and guidelines 
Qualifications
Education And Experience
 Bachelor’s degree in accounting, Finance, or relevant field, required 
4‐8 years’ experience in a similar role, required 
 An MBA is a plus, or it can be applied towards the experience requirement 
 Previous business partnering, data center, or NetSuite experience is a plus 
Knowledge, Skills, Abilities, And Competencies
 In‐depth knowledge of finance and accounting principles, laws and best practices 
 Solid knowledge of financial analysis and forecasting 
 Strong proficiency in the use of MS Excel, MS Office and financial management software 
 Analytical thinker with the ability to strategize and solve problems 
 Superior attention to detail for accurate financial reporting and identification of discrepancies and risks 
 Proactive in building trusting relationships and following up on action items 
 Customer‐focused with a hospitality mindset 
 Ability to manage multiple tasks under strict deadlines while working independently 
 Excellent organizational and leadership skills 
 Outstanding communication and interpersonal abilities 
 Handle confidential information in a sensitive and professional manner 
Physical Requirements
 Must be able to work at a computer for the entirety of each working day, required 
 Ability and willingness for periodic travel (<10%) to offsite customer locations, required 
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