Culbertson Resources Inc
CFO
Our client is seeking a hands‑on CFO for a great opportunity… Responsibilities include financial planning, strategic decision‑making, and managing financial risks and cash flow. The CFO will create and oversee budgets, generate financial reports, and analyze data to provide insights for growth strategies. They also handle capital raising, investor relations, and ensuring regulatory compliance.
Key Responsibilities Financial Planning and Strategy
Creating annual operating and capital budgets.
Developing long‑term financial roadmaps for growth and profitability.
Providing financial insights to inform strategic decisions, such as market entry or new product development.
Cash Flow and Treasury Management
Managing cash flow through forecasting, and optimizing accounts receivable and payable.
Develop cash flow models to manage liquidity and working capital.
Ensuring day‑to‑day accounting and financial reporting are in order and in compliance with GAAP and corporate policies.
Securing funding and managing relationships with lenders and investors.
Financial Reporting, Analysis and Staff Management
Mentor and lead Finance team, fostering high performance.
Producing and interpreting key financial statements like income statements, balance sheets, and cash flow statements.
Establishing and monitoring key performance indicators (KPIs) to track progress and identify areas for improvement.
Benchmarking the business against industry standards.
Identifying and mitigating financial, market, legal, and operational risks.
Ensuring the company is compliant with national and local financial regulations.
Strategic Partnership
Acting as a key strategic partner to the CEO and other executive members.
Advising on major decisions like mergers, acquisitions, and expansion.
Qualifications
Master of Business Administration (MBA) in Accounting, Finance or related field.
CPA is a major plus.
15+ years of progressive experience in financial management, accounting, treasury, or related areas.
Proven track record of managing finance operations within manufacturing, industrial or distribution.
Strong knowledge of GAAP, treasury management, and ERP systems.
Advanced user of Excel.
Exceptional analytical, problem‑solving, and leadership skills.
Experience in process improvement, risk mitigation, and strategic financial planning.
Key Success Metrics
Accurate, timely, and compliant financial reporting.
Improved cash flow, working capital efficiency, and treasury operations.
Reduction in month‑end close timelines and operational inefficiencies.
High‑performing and motivated finance team with low turnover.
What We Offer
Competitive salary and performance‑based bonuses
Opportunity to drive financial strategy for M&A activities
Dynamic, collaborative work environment
Seniority Level Mid‑Senior level
Employment Type Full‑time
Job Function Accounting/Auditing and Finance
Industries Manufacturing and Industrial Machinery Manufacturing
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Key Responsibilities Financial Planning and Strategy
Creating annual operating and capital budgets.
Developing long‑term financial roadmaps for growth and profitability.
Providing financial insights to inform strategic decisions, such as market entry or new product development.
Cash Flow and Treasury Management
Managing cash flow through forecasting, and optimizing accounts receivable and payable.
Develop cash flow models to manage liquidity and working capital.
Ensuring day‑to‑day accounting and financial reporting are in order and in compliance with GAAP and corporate policies.
Securing funding and managing relationships with lenders and investors.
Financial Reporting, Analysis and Staff Management
Mentor and lead Finance team, fostering high performance.
Producing and interpreting key financial statements like income statements, balance sheets, and cash flow statements.
Establishing and monitoring key performance indicators (KPIs) to track progress and identify areas for improvement.
Benchmarking the business against industry standards.
Identifying and mitigating financial, market, legal, and operational risks.
Ensuring the company is compliant with national and local financial regulations.
Strategic Partnership
Acting as a key strategic partner to the CEO and other executive members.
Advising on major decisions like mergers, acquisitions, and expansion.
Qualifications
Master of Business Administration (MBA) in Accounting, Finance or related field.
CPA is a major plus.
15+ years of progressive experience in financial management, accounting, treasury, or related areas.
Proven track record of managing finance operations within manufacturing, industrial or distribution.
Strong knowledge of GAAP, treasury management, and ERP systems.
Advanced user of Excel.
Exceptional analytical, problem‑solving, and leadership skills.
Experience in process improvement, risk mitigation, and strategic financial planning.
Key Success Metrics
Accurate, timely, and compliant financial reporting.
Improved cash flow, working capital efficiency, and treasury operations.
Reduction in month‑end close timelines and operational inefficiencies.
High‑performing and motivated finance team with low turnover.
What We Offer
Competitive salary and performance‑based bonuses
Opportunity to drive financial strategy for M&A activities
Dynamic, collaborative work environment
Seniority Level Mid‑Senior level
Employment Type Full‑time
Job Function Accounting/Auditing and Finance
Industries Manufacturing and Industrial Machinery Manufacturing
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