<p>Brad Stewart with Robert Half Finance & Accounting is seeking an Analyst, to join our client’s Financial Planning and Analysis team. In this role, you will support a growing, dynamic company through high‑quality managerial accounting, financial analysis, and business partnership. The role is based in Reno, Nevada office and some travel to various location may be required.</p><p><br></p><p><strong>Responsibilities: </strong></p><p><strong> </strong></p><p>· Support budgeting, forecasting, and monthly variance analysis</p><p>· Prepare and analyze cost reports, operational KPIs, and financial performance metrics</p><p>· Assist with monthly, quarterly, and annual reporting</p><p>· Partner with site operations teams to provide financial insights that support day‑to‑day and strategic decision‑making</p><p>· Maintain accurate cost accounting records, inventory tracking, and capital project reporting</p><p>· Contribute to the development and documentation of internal controls, supporting SOX compliance efforts</p><p>· Participate in process improvement initiatives to enhance financial accuracy, efficiency, and transparency</p>
<p>Brad Stewart at Robert Half Finance & Accounting is recruiting for a Financial Director for a manufacturing client in Sparks, NV. </p><p>This strategic, results-driven individual will be a key business partner for the organization and will work closely with onsite teams and corporate leadership to drive financial strategy, ensure strong financial performance, and support long-term business objectives.</p><p><br></p><p>Responsibilities:</p><p>· Full ownership of the accounting organization, including month-end close, balance sheet reconciliations, journal entry review, and intercompany transactions.</p><p>· Ensure compliance with audit requirements and internal controls. Monitor risks and implement appropriate controls.</p><p>· Partner with brand leadership to drive financial improvements related to operational costs, pricing, and growth.</p><p>· Ensure accurate and timely financial reporting.</p><p>· Lead forecasting, annual planning, and long-range strategic planning processes.</p><p>· Direct the preparation of operating budgets, capital budgets, and cash flow projections.</p><p>· Lead financial modeling and scenario analysis for key business initiatives. </p><p>· Drive a culture of continuous improvement, both for your team and more broadly across the organization.</p>