Chief Financial Officer
The Chief Financial Officer (CFO) is responsible for the firm’s overall financial strategy, stewardship, and performance. As a member of the executive leadership team, the CFO partners with the CEO, Board, and capital partners to support growth, ensure financial integrity, and optimize enterprise value.
This role oversees accounting, FP&A, and reporting functions, with significant responsibility for M&A valuation and diligence, Quality of Earnings analysis, external audit management, shareholder dividend planning and valuation, budgeting and forecasting, pro forma financial modeling, and financial reporting to capital partners.
Job Responsibilities
Team Leadership & Operational Excellence
Lead, manage and hold accountable a high-performing FP&A and accounting team.
Implement systems and processes that scale with growth.
Strategic Financial Leadership
Serve as a strategic advisor to the CEO and Board on financial performance, growth initiatives, capital allocation, and risk management.
Develop and execute the firm’s long-term financial strategy in alignment with business objectives.
Provide data-driven insights and financial analysis to support executive decision-making.
M&A, Valuation & Transaction Support
Lead financial analysis and valuation for mergers, acquisitions, tuck-ins, and strategic investments.
Develop and review valuation models, including EBITDA and revenue multiples, discounted cash flow, and scenario analyses.
Oversee and evaluate Quality of Earnings analyses, identifying normalization items, risk areas, and sustainability of earnings.
Partner with legal, tax, and external partners throughout due diligence, transaction execution, closing, and post-acquisition integration.
Prepare acquisition and integration pro forma financial statements to assess accretion/dilution, cash flow impact, and returns.
Lead the annual budgeting process and ongoing forecasting.
Prepare and maintain pro forma financial models for organic growth initiatives, acquisitions, capital investments, and restructuring scenarios.
Monitor financial performance against budget and forecast and provide variance analysis.
Accounting, External Audit & Internal Controls
Oversee all accounting operations in accordance with GAAP and regulatory requirements.
Serve as the primary point of contact for external auditors.
Ensure effective internal controls and scalable financial processes.
Manage firm-level and shareholder tax planning and compliance.
Oversee tax considerations related to transactions and entity structuring.
Partner with external accounting firm to coordinate quarterly and annual tax filings within given corporate structure.
Capital Structure, Shareholder Equity and Dividends & Treasury
Manage liquidity, cash flow forecasting, credit covenants, and credit agreements.
Design and administer shareholder dividends, tax liabilities, and distribution strategies.
Reporting to Capital Partners & Stakeholders
Prepare and deliver timely financial reporting to the Board of Directors, capital partners, investors, and lenders.
Support investor communications, forecasts, and covenant reporting.
Identify and communicate to capital partners capital requirements for M&A
Equipment Used
Standard office equipment
Cloud-based storage software
CRM software
Microsoft Office Suite
Expense reporting software
Hours
Monday through Friday; 8 AM to 5 PM
Knowledge, Skills, and Abilities
Proven experience with M&A valuation, Quality of Earnings analysis, and financial due diligence
Knowledge of tax strategies, budgeting, pro forma modeling, shareholder dividends, and capital partner reporting
Working knowledge of Generally Accepted Accounting Principles and Procedures (GAAP)
Progressive analytical knowledge and interpersonal skills
Excellent verbal, written, and presentation communication skills
High degree of accrual accounting and corporate structure knowledge
Self-driven, independent, adaptable, detail-oriented, and creative problem-solving skills
Highly detailed, accurate, organized, and able to think beyond the current process
Ability to build and maintain good rapport with internal and external customers and handle situations with confidence, tact, and resourcefulness
Flexible, adaptable, with the ability to work under pressure to meet deadlines in a fast-paced environment
Proficient in the Microsoft Office suite
Education
Bachelor’s degree in Finance, Accounting, Economics, or related field required
CPA, CFA, and/or MBA preferred
Experience
10+ years of progressive financial leadership experience
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