Interim CFO

2 months ago


Coral Gables, United States PhoenixProConnect, LLC Full time

Company: Fast-Growing Private Equity-Backed Tech Company in Miami -

Job Summary: We seek a highly experienced and dynamic Interim CFO to join our fast-growing Information Security company. As the Interim CFO, you will be critical in providing financial leadership, strategic guidance, and operational expertise during a transitional period. You will be responsible for overseeing all financial aspects of the company, ensuring effective financial management, and supporting our high-growth trajectory.

The ideal candidate will have a strong background in private and public companies, offshoring strategy, turnaround expertise, cash management, executive support, international and domestic exposure, heavy budgeting, leadership, mentorship, board reporting, and other critical responsibilities in a CFO role for a high-growth company.

Responsibilities:
  1. Financial Strategy and Planning:
    1. Develop and execute the company's financial strategy aligned with growth objectives and private equity requirements.
    2. Drive financial planning, budgeting, and forecasting processes to ensure effective resource allocation and performance monitoring.
    3. Provide strategic insights and financial analysis to support decision-making and business development activities.
  2. Offshoring Strategy and International Exposure:
    1. Develop and implement offshoring strategies to optimize operational efficiency, reduce costs, and expand the company's global footprint.
    2. Manage international financial operations, including financial compliance, tax planning, and foreign exchange risk management.
  3. Turnaround Expertise:
    1. Assess financial performance, identify areas of improvement, and implement turnaround strategies to drive profitability and operational efficiency.
    2. Lead restructuring initiatives, cost-saving measures, and financial process improvements to support sustainable growth.
  4. Cash Management and Capital Allocation:
    1. Oversee cash management, working capital optimization, and treasury functions to ensure adequate liquidity and effective capital allocation.
    2. Develop and implement cash forecasting and cash flow management strategies to support growth objectives and mitigate financial risks.
  5. Executive Support and Board Reporting:
    1. Provide strategic financial advice and executive support to the CEO, executive team, and board of directors.
    2. Prepare and present financial reports, including board presentations, investor updates, and performance analyses.
  6. Budgeting and Financial Controls:
    1. Lead the budgeting process and establish robust financial controls to ensure accuracy, accountability, and compliance.
    2. Monitor financial performance against budgets and provide timely analysis and recommendations for cost optimization.
  7. Leadership and Mentorship:
    1. Build and lead a high-performing finance team, fostering a culture of collaboration, accountability, and continuous improvement.
    2. Provide mentorship, guidance, and professional development opportunities to finance team members.
  8. Investor Relations and Compliance:
    1. Collaborate with the investor relations team to provide accurate and timely financial information to investors, lenders, and other stakeholders.
    2. Ensure compliance with financial regulations, reporting requirements, and relevant accounting standards.
Qualifications:
  1. Bachelor's degree in Finance, Accounting, or a related field (MBA or CPA preferred).
  2. Proven track record as a CFO or senior financial executive in both private and public companies.
  3. Extensive experience in offshoring strategy, turnaround management, cash management, executive support, and international operations.
  4. Strong background in heavy budgeting, financial planning, and analysis.
  5. Demonstrated leadership skills with the ability to inspire and motivate teams.
  6. Excellent communication and presentation skills, with the ability to interact effectively with stakeholders at all levels.
  7. Strategic thinker with a keen business acumen and the ability to drive change and innovation.
  8. Strong understanding of investor relations, corporate governance, and regulatory compliance.

This is an interim position with an expected duration of 3 months and a possible permanent opportunity. The successful candidate will have the opportunity to make a significant impact on our company's growth and financial success.

If you are a highly skilled and experienced CFO with a proven track record in private and public companies and possess the required skill sets, we encourage you to apply and join our client's dynamic team.

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