JOB DETAILS

Director of Accounting and Finance

CompanySweet Additions
LocationPalm Beach Gardens
Work ModeOn Site
PostedFebruary 26, 2026
About The Company
Driven by innovation, Sweet Additions is reshaping the organic landscape with custom ingredients and trendsetting solutions. Trusted by top global brands, we offer unmatched consistency, regulatory expertise, and visionary market strategies. More than just a supplier, we're your partner in accelerated success. Let's innovate together. Sweet Additions has offices in Palm Beach Gardens, Florida and manufacturing facilities in Dresser and Cameron, Wisconsin.
About the Role

Description

Join our dynamic organization as the Director of Accounting and Finance, a pivotal leadership role dedicated to steering our financial strategies, ensuring compliance, and driving sustainable growth. In this energetic position, you will oversee all aspects of financial management, from corporate accounting to risk analysis, and foster strategic partnerships that enhance our fiscal health. Your expertise will empower us to navigate complex financial landscapes confidently while maintaining transparency and integrity at every level. This is a fantastic opportunity for a motivated leader eager to make a significant impact within a thriving organization committed to excellence. 

Requirements

  • Lead the development and execution of comprehensive financial strategies aligned with organizational goals, emphasizing growth, efficiency, and risk mitigation.
  • Oversee all accounting functions including general ledger accounting, balance sheet reconciliation, accounts payable and receivable, cost accounting, and financial report writing.
  • Ensure compliance with all regulatory reporting requirements and accounting standards such as GAAP, IFRS, IAS, ASC 606, and other relevant frameworks.
  • Manage treasury operations including cash flow analysis, investment management, and cost control initiatives to optimize financial resources.
  • Conduct detailed risk analysis and develop robust risk management practices to safeguard organizational assets and ensure regulatory adherence.
  • Drive strategic planning processes by preparing financial forecasts, budgets, and variance analyses to support informed decision-making.
  • Supervise the preparation of financial statements and reports for internal stakeholders and external regulators with clarity and precision.
  • Lead a high-performing finance team by fostering professional development, ensuring accurate bookkeeping, account analysis, and technical accounting expertise.
  • Collaborate with business development teams to evaluate new opportunities through rigorous financial analysis and investment assessments.
  • Implement effective internal controls to enhance compliance management and safeguard against financial discrepancies or fraud.
  • Proven experience in corporate accounting with a strong understanding of governmental accounting, non-profit accounting, and public accounting practices.
  • Extensive knowledge of IFRS (International Financial Reporting Standards), IAS (International Accounting Standards), GAAP (Generally Accepted Accounting Principles), and ASC 606 revenue recognition standards.
  • Demonstrated expertise in financial concepts such as profit & loss management, budgeting, forecasting, cost management, and fiscal planning.
  • Strong leadership skills with the ability to manage cross-functional teams while fostering a culture of continuous improvement.
  • Proficiency in financial software systems along with advanced skills in balance sheet reconciliation, account reconciliation, cash flow analysis, and general ledger accounting.
  • Excellent analytical skills with the ability to interpret complex financial data into actionable insights for strategic decision-making.
  • Exceptional communication skills necessary for effective financial report writing and interpretation for diverse audiences including executive leadership and regulatory bodies.
  • A bachelor’s degree in Accounting, Finance or related field; CPA or CMA certification preferred but not mandatory.
  • Experience in risk management practices related to financial services or investments is advantageous. Embark on a rewarding journey where your strategic vision will shape the future of our organization’s financial landscape! We are committed to fostering an inclusive environment that values innovation, integrity, and excellence—where your leadership can truly make a difference.
Key Skills
Financial StrategiesCorporate AccountingRisk AnalysisGeneral Ledger AccountingBalance Sheet ReconciliationAccounts PayableAccounts ReceivableCost AccountingFinancial Report WritingRegulatory ReportingGAAPIFRSASC 606Cash Flow AnalysisBudgetingForecasting
Categories
Finance & AccountingManagement & Leadership
Job Information
📋Core Responsibilities
This leadership role involves steering financial strategies, ensuring compliance, and driving sustainable growth by overseeing all aspects of financial management from corporate accounting to risk analysis. The director will lead the development and execution of comprehensive financial strategies aligned with organizational goals, emphasizing growth, efficiency, and risk mitigation.
📋Job Type
full time
📊Experience Level
10+
💼Company Size
38
📊Visa Sponsorship
No
💼Language
English
🏢Working Hours
40 hours
Apply Now →

You'll be redirected to
the company's application page