Company Description
Hana Group is a multinational company leading sales in pan-Asian cuisine sold in grocery retailers and commerce marketplaces. The company has tailored brands providing custom collaborations to our partners and to our consumers. Through our distribution company, we are able to deliver on our mission of sustainable sourcing with ingredients that make our food healthy, delicious, and affordable. We aim to CARE about the quality of our service, to ACT to deliver new concepts for finding pan-Asian cuisine, to DARE to deliver sushi and more in new ways to our consumers, and to TRUST in our ability to follow through on customer expectations. We participate in E-Verify and we are an Equal Opportunity Employer.
Job Description
Manager of Financial Planning & Analysis
Hybrid 2-3 days a week
The Manager of Financial Planning & Analysis is responsible for delivering the company's financial planning, analysis, reporting and forecasting functions. This role, in partnership with the leadership team, will develop and implement financial strategies, metrics, reports and models to help drive business performance and support strategic decision making.
Key Competencies
Financial Analysis and complex modeling, Understanding Retail and Various Retail Channel environments, Understanding Supply Chain and Logistics, Influence and Negotiation, Financial Acumen and Data /Analytics, Consumer/Customer focus, Planning and Priority setting, Communication
Duties & Responsibilities
- Execute the annual budgeting and strategic planning process. Coordinate with business units to develop annual budgets, forecasts and long-term financial plans
- Maintain and enhance financial models to forecast revenue, expenses, cash flow and profitability under various scenarios
- Support the leadership team on the monthly, quarterly and annual financial reporting. Prepare and analyze key financial statements including income statements, balance sheets, cash flow statements and key metrics
- Monitor actual performance against budgets/forecasts. Perform variance analysis and investigate significant variances. Report findings to executive team
- Manage investor relations and reporting. Prepare financial information for the Board of Directors, shareholders and external stakeholders
- Analyze business investments and M&A opportunities. Prepare business cases, financial models and post-merger integration plans
This job posting describes the general duties and responsibilities for the position. Other duties as required may be assigned.
Qualifications
Qualifications
- Bachelor's degree in Accounting, Finance or related field required. MBA or Master's degree preferred
- 5+ years of progressive FP&A experience, CPA or CFA designation highly desired
- Expert knowledge of financial statements, accounting principles, and financial modeling
- Ability to synthesize data, identify trends, and make recommendations based on financial analysis
- Proficiency with financial modeling software (Excel) and reporting tools. Experience with accounting/ERP systems
- Strong analytical and problem-solving skills with excellent attention to detail
- Ability to multitask and prioritize effectively in a fast-paced environment
- Effective communication and presentation skills to interpret analytical findings
- Flexibility to travel up to 15% as required
- Encompass the company mission and core values
Additional Information
Hana Group North America is an Equal Opportunity Employer
Salary: $120,000.00-$130,000.00 USD Annually
Top Skills
What We Do
Hana group is specialized in the retail & food sector and wholesale distribution. The company develops an integrated and premium sales network, which offers a diverse and open world cuisine. By creating original concepts, the group’s brands know how to anticipate and satisfy the consumer’s expectation & trends and add value.