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Finance Manager

Nbutexas

Join a high-profile NYC restaurant backed by an established real estate investment group. This is a hands-on finance manager opportunity supporting a dynamic hospitality operation, offering additional exposure to real estate portfolio initiatives and direct collaboration with senior management. If you're passionate about operational finance and want to drive real-world business impact, this is an outstanding career move. Finance Manager Benefits & Compensation Exposure to international leadership and portfolio-level strategy Opportunity to influence both hospitality and real estate operations Growth potential within a diversified and stable platform Finance Manager Requirements & Qualifications Bachelor’s degree in Finance, Accounting, or related field CPA required 5+ years of financial management or FP&A experience Experience within restaurant, food & beverage environments Proven skills in financial modeling, budgeting, forecasting, and variance analysis Lead month-end and year-end close processes and the preparation of full financial statements (P&L, balance sheet, cash flow) Strong general ledger management and familiarity with financial reporting Experience processing A/P and A/R, with full cycle accounting responsibility Review daily cash and credit card sales; reconcile against POS systems Comfortable working independently in an operational setting Ability to commute to New York, NY Finance Manager Preferred Background & Skills Experience with accounting and operations systems such as Yardi, QuickBooks, TOAST, MarginEdge, or Tripleseat Background supporting both hospitality and real estate entities Strong operational mindset—comfortable analyzing daily sales, labor, and cost drivers Experience reporting to international leadership teams Process-improvement focus and strong internal controls orientation Bilingual abilities are a plus Finance Manager Day-to-Day Responsibilities Oversee full cycle accounting, including A/P and A/R processing, general ledger management, and financial reporting Lead month-end and year-end close, ensuring accuracy and timeliness Perform bank reconciliations and manage daily cash positioning Process vendor invoices, set up accounts, and maintain compliance documentation Analyze sales trends, margins, and operational costs to identify improvement opportunities Build and maintain detailed cash flow forecasts and identify liquidity risks Coordinate with banks, auditors, vendors, and external consultants Support ad-hoc financial projects and assist with real estate portfolio reporting This role is ideal for a CPA who wants to be embedded in day-to-day hospitality operations while gaining exposure to a broader real estate investment platform. #J-18808-Ljbffr

Vacancy posted 1 day ago
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