Live opening · Posted 4 days ago
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About the role
Description supplied by the original job listing.
💰 Chief Financial Officer (CFO)
🚀 Key Responsibilities
🧭 Develop and execute the company’s overall financial strategy in alignment with long-term business objectives.
💵 Oversee financial planning, budgeting, forecasting, reporting, treasury, accounting, and capital management.
📊 Provide executive leadership with accurate financial analysis, performance insights, and strategic recommendations.
💰 Manage cash flow, liquidity, working capital, capital allocation, and overall financial resources.
📈 Monitor revenue, profitability, margins, operating costs, and financial performance across business units.
🔎 Lead financial modeling, scenario analysis, investment evaluation, and strategic business planning.
🛡️ Establish strong financial controls, risk-management frameworks, compliance policies, and governance processes.
🤝 Partner with the CEO, Board, and executive leadership team on major investments, acquisitions, expansion, and strategic initiatives.
🏦 Manage relationships with banks, investors, auditors, financial institutions, and other external stakeholders.
⚙️ Improve financial systems, reporting processes, automation, analytics, and operational efficiency.
🌎 Oversee financial operations across multiple entities, regions, and international markets where applicable.
👥 Lead, mentor, and develop high-performing Finance, Accounting, FP&A, Treasury, and related teams.
📋 Present financial performance, forecasts, risks, opportunities, and strategic recommendations to the CEO and Board.
🚀 Support sustainable growth through disciplined financial management, resource optimization, and long-term capital planning.
🎓 Experience & Qualifications
20+ years of progressive experience in Finance, Accounting, FP&A, Treasury, Investment Management, or related fields.
10+ years of senior leadership experience, preferably at the VP, SVP, CFO, Controller, or equivalent executive level.
Proven track record leading complex financial organizations and enterprise-wide financial strategies.
Extensive experience with financial planning, forecasting, budgeting, cash flow management, capital allocation, and financial reporting.
Strong knowledge of accounting principles, financial controls, corporate governance, risk management, and regulatory requirements.
Demonstrated experience supporting M&A, fundraising, capital markets, business expansion, restructuring, or other major strategic initiatives.
Experience working directly with CEOs, Boards of Directors, investors, banks, auditors, and senior executive teams.
Strong strategic thinking, financial judgment, analytical, negotiation, and executive communication skills.
Bachelor’s degree in Finance, Accounting, Economics, Business, or a related field required.
MBA, CPA, CFA, or other advanced professional qualification preferred.
Work arrangement
Yes
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