Head of Finance
We are looking for a motivated professional to play a pivotal role in an expanding organization. This position offers a unique 'seat at the table' where your contributions directly shape our trajectory. Offers a sophisticated hybrid work model and flexible scheduling.This person will serve as a key partner to ownership, ensuring the company has accurate financial reporting, strong internal controls, healthy banking relationships, and a financial strategy that supports long-term growth.Key ResponsibilitiesFinancial Operations & AccountingOversee and take ownership of all bookkeeping functions across the company and its related entitiesManage monthly, quarterly, and annual close processesMaintain accurate general ledgers, financial statements, and supporting documentationEnsure timely reconciliation of bank accounts, credit cards, loans, and intercompany accountsEstablish and improve accounting processes, systems, and internal controlsAccounts Payable & Accounts ReceivableOwn all accounts payable processes, including vendor setup, invoice approval workflows, payment scheduling, and cash managementOversee accounts receivable, customer invoicing, collections, and aging managementImprove billing and collections discipline across subsidiariesMonitor working capital and ensure timely movement of cash through the businessCash Management, Banking & CreditManage company cash flow and short- and long-term liquidity planningOversee banking relationships and day-to-day treasury needsManage business credit lines, lending relationships, and borrowing capacityEvaluate and recommend financing options to support operations and growthMonitor debt obligations, covenants, and repayment schedulesFinancial Planning & AnalysisBuild and maintain budgets, forecasts, and scenario models across multiple business unitsDeliver timely reporting and clear financial insights to ownership and leadershipTrack performance by entity, product line, and operating unitIdentify risks, inefficiencies, and opportunities to improve margins and cash flowSupport pricing, investment, and expansion decisions with sound financial analysisQualificationsProven experience in a senior finance or CFO-level role, ideally in a multi-entity or holding company environmentStrong command of bookkeeping, accounting operations, AP/AR, cash management, and financial reportingExperience managing credit lines, banking relationships, and business financingExcellent organizational skills and attention to detailStrong communication skills and ability to work directly with owners and operatorsIdeal CandidateEntrepreneurial and comfortable in a fast-moving, build-as-you-go environmentAble to move between detailed accounting work and higher-level strategic planningConfident managing multiple entities with different revenue modelsPractical, resourceful, and focused on helping leadership grow the business responsiblyWilling to take ownership and build a financial foundation that scales with the companyEqual Opportunity Employer. All qualified applicants will receive consideration for employment and will not be discriminated against based on race. color, religion, sex, sexual orientation, gender identity, national origin, protected veteran status, disability, age, pregnancy, genetic information or any other consideration prohibited by law or contract.Must be legally authorized to work in the US without sponsorship for employment visa status now or in the future.Please no third-party recruiting agencies.