About the job
The Role:
Join our dynamic Executive Team as the Director of Finance, where you will collaboratively explore avenues to enhance our client's value through strategic partnerships, investments, mergers, and acquisitions. Your expertise will be pivotal in shaping the Company’s annual and long-term business strategies, conducting in-depth analyses, and providing strategic financial counsel on the organization's overall direction and individual projects. As a key player in our entrepreneurial environment, you will be expected to take initiative, dive into hands-on work, and collaborate effectively with team members across all levels of the organization.
Key Responsibilities:
- Lead Mergers & Acquisitions with a focus on Human Capital due diligence, budgeting, forecasting, and cash flow management.
- Drive operational excellence through financial insights and guidance.
- Identify financial opportunities and challenges, analyzing their impact on future business objectives.
- Deliver timely and precise analyses of budgets, financial reports, and trends to assist the Owners, CEO, and Executive Team in fulfilling their roles.
- Serve as a trusted advisor with a robust work ethic and a resilient mindset.
- Build credibility across the organization as a solutions-oriented developer for business challenges.
- Provide strategic input and leadership on decision-making matters impacting the organization, including evaluations of potential alliances, acquisitions, and investments.
- Establish a reliable cash flow projection process and reporting framework to meet operational needs.
- Advise from a financial standpoint on any contracts the Corporation may enter.
- Assess the finance group's structure and identify areas for improvement or professional development to enable future success.
- Collaborate with the Controller and Chief Revenue Officer to facilitate the company budgeting process.
- Oversee adherence to departmental budgets and develop, track, and manage finance department goals and success metrics.
- Work with the Controller to enhance cash management practices for optimal cash position management.
- Utilize modeling and financial analysis to provide company and departmental direction.
- Engage key stakeholders to ensure alignment with business objectives and processes.

