About Innovative Labs
We are a leading maker of liquid dietary supplements, known for our innovation, strong R&D, and focus on quality. With our in-house team, we create custom liquid products for top wellness, nutraceutical, and food brands.
At Innovative Labs, we believe in teamwork and creativity. For over 15 years, we’ve helped brands bring new ideas to life with high-quality liquids, gels, purees, pastes, oils, and emulsions. Our modern facilities and dedicated team work together to make products that matter.
Here, you’ll grow, learn, and be part of a team that’s always improving and moving forward.
Why You’ll Love Working Here
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Your Work Matters: Support the Brands People Use Every Day
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Collaborate & Create: Join a team that values fresh ideas, open communication, and teamwork
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Grow Your Career: We encourage curiosity, learning, and stepping up to new challenges
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Supportive Culture: Thrive in a workplace that values your contributions and well-being
About the Job
The Financial Analyst is responsible for providing accurate financial reporting, proactive cash flow forecasting, and the timely completion of month-end close activities. As a trusted business partner to the Controller and CFO, this role delivers insightful financial analysis, variance reporting, and performance metrics that support strategic planning, operational efficiency, and data-driven decision-making across the organization.
What You’ll Do
Cash Flow Management
- Monitor and forecast daily, weekly, and monthly cash positions to ensure adequate liquidity
- Prepare short- and long-term cash flow projections; identify risks and surplus opportunities
- Partner with Accounts Payable and Accounts Receivable to optimize working capital and the cash conversion cycle
- Provide management with regular cash flow reporting and recommendations
Month-End Close
- Execute month-end close activities within established timelines, including journal entries, accruals, and adjustments in accordance with GAAP
- Reconcile balance sheet accounts and resolve discrepancies in a timely manner
- Coordinate with cross-functional teams to gather data and validate financial results
- Maintain close checklist and ensure all tasks are comp