Live opening · Posted 12 hours ago
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About the role
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Company Description CONTROLSAM is a growing organization focused on delivering reliable solutions and services to its clients across diverse industries. The company emphasizes operational excellence, strong governance, and sustainable growth, creating an environment where financial leadership plays a central role in strategic decision-making. Team members collaborate remotely, leveraging technology to maintain high performance and effective communication. CONTROLSAM values integrity, accountability, and continuous improvement, offering professionals the opportunity to shape the company’s financial direction and long-term success.
Role Description The Chief Financial Officer (CFO) at CONTROLSAM is a full-time remote role responsible for overseeing all financial operations and guiding the company’s long-term financial strategy. The CFO will lead financial planning and budgeting, manage cash flow, and ensure accurate and timely preparation of financial statements and reports. This role includes establishing and maintaining internal controls, monitoring financial performance, and providing data-driven insights to support executive decision-making. The CFO will collaborate closely with senior leadership on strategic initiatives, capital allocation, risk management, and compliance with relevant regulations and standards. Day-to-day responsibilities also involve coordinating with external partners such as auditors, banks, and advisors, while mentoring and developing the finance team.
Qualifications
Strong proficiency in Finance and Financial Planning to develop budgets, forecasts, and long-term financial strategies.
Expertise in Financial Statements and Financial Reporting to ensure accurate, compliant, and timely financial disclosures.
Advanced Analytical Skills to interpret financial data, assess risks and opportunities, and support strategic decision-making.
Demonstrated experience leading finance teams, including mentoring, performance management, and cross-functional collaboration.
Proven track record in cash flow management, cost control, and profitability improvement in a corporate environment.
Knowledge of relevant accounting standards, tax regulations, and financial compliance requirements.
Excellent communication and presentation skills, with the ability to explain complex financial information to non-financial stakeholders.
Bachelor’s degree in Finance, Accounting, Business, or a related field; MBA, CPA, or equivalent professional certification is highly beneficial.
Experience in remote leadership, using digital tools to manage teams and collaborate effectively across locations.
Work arrangement
Yes
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