Chief Financial Officer

1 week ago


Columbus, Ohio, United States Book+Street Full time
Job Title: Chief Financial Officer

We are seeking an experienced Chief Financial Officer to join our team at Book+Street. As a key member of our senior executive team, you will be responsible for driving strategic financial initiatives and providing expert financial guidance to our clients.

Key Responsibilities:
  • Leverage your deep financial expertise to drive strategic financial solutions for clients
  • Develop transformational financial strategy and implement defined financial reporting and forecasting for clients
  • Participate with client leadership teams to craft business strategy, operating plans and providing expert advisory services on business opportunities in a variety of industries
  • Oversee financial operations as acting CFO to enable achievement of clients goals and objectives
  • Assess and anticipate client needs related to financial and investor reporting
  • Define and implement scalable financial controls to ensure compliance on all financial functions
  • Build and maintain robust operating and financial models to enable client success
  • Develop and provide reporting for Key Performance Indicators (KPIs) to provide measurable results for investors
  • Advise clients on strategic and operational matters to assist in sustainable growth and mitigate risk factors
  • Develop in-depth strategies for client funding goals and milestones
  • Perform investment analysis for capital expenditures and acquisitions
Requirements:
  • 10+ years of demonstrated relevant finance and accounting experience, with both technical and management proficiency in operations across diverse industries
  • Passion for working for business owners and respect for the entrepreneurial journey
  • Proven track record of success serving as a key member of the senior executive team in providing input to the CEO, Board, and management peers regarding the financial implications of all major business decisions, as well as strategic objectives
  • Experience driving strategic initiatives, organizational change and processes to achieve significant growth targets
  • Strong interpersonal and communication skills, including the ability to collaborate and take direction in support of the company's goals
  • Strong financial modeling, business plan development skills, and investor deck preparation experience are required
  • Significant experience modeling scenarios in Excel and utilizing data in reporting and analysis is required
  • Proven experience in creating real-time reporting, forecasting, and actionable KPI and similar dashboards, with the utilization of advanced financial technologies and modeling that have led to clear value creation
  • Proven business acumen and clear comprehension of the legal, regulatory and financial elements of the business. Extensive knowledge of industry practices, trends and issues
  • Strong knowledge of SEC regulations, GAAP accounting, internal controls, and financial reporting required
  • Agile and decisive; can work with an ambiguous, fast-moving environment while also leading to clarity and solutions; adapts quickly and effectively to change
  • Ability to manage multiple assignments, meet deadlines, and adapt easily to handle emergent requests
  • Working knowledge of raising capital beyond traditional lines of credit
  • Bachelor's Degree in Accounting, Business Administration or Finance is required
  • MBA preferred
  • Certified Public Accountant (CPA) preferred
  • Prior experience in Consulting preferred
  • Direct experience working with venture capital and private equity investors is preferred
What You'll Do:
  • Leverage your deep financial expertise to drive strategic financial solutions for clients
  • Develop transformational financial strategy and implement defined financial reporting and forecasting for clients
  • Participate with client leadership teams to craft business strategy, operating plans and providing expert advisory services on business opportunities in a variety of industries
  • Oversee financial operations as acting CFO to enable achievement of clients goals and objectives
  • Assess and anticipate client needs related to financial and investor reporting
  • Define and implement scalable financial controls to ensure compliance on all financial functions
  • Build and maintain robust operating and financial models to enable client success
  • Develop and provide reporting for Key Performance Indicators (KPIs) to provide measurable results for investors
  • Advise clients on strategic and operational matters to assist in sustainable growth and mitigate risk factors
  • Develop in-depth strategies for client funding goals and milestones
  • Perform investment analysis for capital expenditures and acquisitions
Why Book+Street?

We love what we do and encourage open communication, flexibility and diversity. We offer a robust benefits package including PTO, paid holidays, sponsored medical, 100% employer paid dental and vision, life, AD&D and disability insurance and a generous 401K match to all full-time employees.

Book+Street is an Equal Employment Opportunity (EEO) employer and does not discriminate on the basis of race, color, national origin, religion, gender, age, veteran status, political affiliation, sexual orientation, marital status or disability (in compliance with the Americans with Disabilities Act) with respect to employment opportunities.



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