The Charles River Group
We are an independent high level professional placement and recruitment company.
Job Description The Chief Financial Officer (CFO) is a senior executive who manages and makes decisions on the financial operations of well established international manufacturing company. This position will have an impact on the day-to-day and ongoing company operations, helping to analyze, strategize, and improve the company’s financial position. This seasoned strategist fully understands current accounting practices and trends and is comfortable in a leadership role that demands clear communication and presentation skills.
Position will be based onsite in Stevens Point, WI.
Essential Functions Job Responsibilities
Responsible, either directly or by managing staff, for all cash management, investments, insurance, budgeting, and financial reporting, helping to drive the company’s financial strategy and hiring needs.
Coordinate the development of the annual operating, capital, and program budgets, and reporting against the same.
Ensure cash flow is compatible with company operations, by overseeing the day-to-day accounting, recording, reporting, and internal control activities of the organization.
Responsible for inventory costing and analysis by product line to ensure accurate cost calculations and making strategic decisions to optimize company profitability.
Continually drive for functional transformation within the finance department and across the entire organization to align with overall business goals and structure.
Lead the development and use of best-practice policies, practices, and tools that ensure a well-controlled yet flexible organization with strong fiscal management, project management, cross team communications and workflow.
Responsible for management of the North American Tax department.
Comply with federal, state, and local financial requirements by studying existing and new legislation, enforcing compliance, and taking action where appropriate.
Research the value of revenue opportunities, stay current on economic trends, analyze internal operations, identify areas of cost reduction and process enhancement.
Perform risk management through analysis of company liabilities and investments and evaluate and manage capital structure and fundraising initiatives.
Monitor performance with tracking, establish corrective measures as needed, and prepare detailed reports, both current and forecasting for earnings calls, the management team, and the rest of the company.
Produce company financial records and information to report to consolidation software.
Manage finance and tax department personnel ensuring performance of daily responsibilities, setting clear expectations, and evaluating performance of direct reports.
Knowledge, Skills, and Ability
Leadership skills, with steadfast resolve and personal integrity.
Skill and ability to maintain high ethical standards.
Strong analytical and strategic thinking skills.
Exceptional verbal, written, and visual communication skills.
Proactive and self-motivated with the ability to work independently and in a team environment.
Skill and ability to prioritize tasks, meet deadlines, and adapt to changing priorities and business needs.
Understanding of advanced accounting, regulatory issues, and tax planning.
Advanced level skills using computer applications (Microsoft Suite, enterprise software).
Ability to work onsite daily with occasional domestic and international travel requirements.
Qualifications Education:
Bachelor’s degree in accounting, business accounting, or finance required; Master’s degree preferred.
Experience Required:
10+ years’ experience in finance management positions (international experience)
5+ years’ experience in executive leadership positions.
Experience with mergers, acquisitions, and investor relations.
Experience working in a manufacturing environment.
Additional Information All your information will be kept confidential according to EEO guidelines.
Job Location #J-18808-Ljbffr
Job Description The Chief Financial Officer (CFO) is a senior executive who manages and makes decisions on the financial operations of well established international manufacturing company. This position will have an impact on the day-to-day and ongoing company operations, helping to analyze, strategize, and improve the company’s financial position. This seasoned strategist fully understands current accounting practices and trends and is comfortable in a leadership role that demands clear communication and presentation skills.
Position will be based onsite in Stevens Point, WI.
Essential Functions Job Responsibilities
Responsible, either directly or by managing staff, for all cash management, investments, insurance, budgeting, and financial reporting, helping to drive the company’s financial strategy and hiring needs.
Coordinate the development of the annual operating, capital, and program budgets, and reporting against the same.
Ensure cash flow is compatible with company operations, by overseeing the day-to-day accounting, recording, reporting, and internal control activities of the organization.
Responsible for inventory costing and analysis by product line to ensure accurate cost calculations and making strategic decisions to optimize company profitability.
Continually drive for functional transformation within the finance department and across the entire organization to align with overall business goals and structure.
Lead the development and use of best-practice policies, practices, and tools that ensure a well-controlled yet flexible organization with strong fiscal management, project management, cross team communications and workflow.
Responsible for management of the North American Tax department.
Comply with federal, state, and local financial requirements by studying existing and new legislation, enforcing compliance, and taking action where appropriate.
Research the value of revenue opportunities, stay current on economic trends, analyze internal operations, identify areas of cost reduction and process enhancement.
Perform risk management through analysis of company liabilities and investments and evaluate and manage capital structure and fundraising initiatives.
Monitor performance with tracking, establish corrective measures as needed, and prepare detailed reports, both current and forecasting for earnings calls, the management team, and the rest of the company.
Produce company financial records and information to report to consolidation software.
Manage finance and tax department personnel ensuring performance of daily responsibilities, setting clear expectations, and evaluating performance of direct reports.
Knowledge, Skills, and Ability
Leadership skills, with steadfast resolve and personal integrity.
Skill and ability to maintain high ethical standards.
Strong analytical and strategic thinking skills.
Exceptional verbal, written, and visual communication skills.
Proactive and self-motivated with the ability to work independently and in a team environment.
Skill and ability to prioritize tasks, meet deadlines, and adapt to changing priorities and business needs.
Understanding of advanced accounting, regulatory issues, and tax planning.
Advanced level skills using computer applications (Microsoft Suite, enterprise software).
Ability to work onsite daily with occasional domestic and international travel requirements.
Qualifications Education:
Bachelor’s degree in accounting, business accounting, or finance required; Master’s degree preferred.
Experience Required:
10+ years’ experience in finance management positions (international experience)
5+ years’ experience in executive leadership positions.
Experience with mergers, acquisitions, and investor relations.
Experience working in a manufacturing environment.
Additional Information All your information will be kept confidential according to EEO guidelines.
Job Location #J-18808-Ljbffr