Chief Financial Officer
Full-Time Regular
Boca Raton FL
Our client is one of the nation's leading home servicing company. Qualified candidates must reside in South Florida or able to relocate.
Skills and Experience:
Bachelors in Finance, Business or Accounting
CPA a strong plus and MBA preferred
Seven years experience in financial and accounting leadership REQUIRED
MUST have experience in a DTC / Recurring Revenue Organization
Previous experience as a hands-on CFO
Seasoned in growing and managing an accounting department
Strategic planning and presentation skills
Mergers and Acquisitions experience REQUIRED
Responsibilities:
Ensure timely and accurate information (reports and analyses) to enable management to drive the value of the business.
Determine executive level KPI’s and provide daily, weekly and monthly flash reports to executive management (Cost Per Order, Cost Per Call, LTV / CAC Ratio, etc)
Structure, develop and oversee accounting department.
Coordinate, evaluate the accounting processes, oversee AP, Payroll, Revenue Recognition, applicable software programs, and all accounting information systems in the company
Develop annual budgeting, forecasting, and overall business modeling.
Ensure GAAP Compliance (Deferred Revenue)
Oversee the approval and processing of revenue, expenditures, ledger and account maintenance, and related data entry.
Timely closing of Monthly and Annual financials.
Coordinate the preparation of financial statements, financial reports, special analyses, and information reports for executive leadership and shareholders.
Develop and implement finance, accounting, billing, and auditing procedures.
Management of annual Audit.
Establish and maintain appropriate internal control safeguards.
Interact with other VP/Directors or managers to provide consultative support to planning initiatives through financial and management information analyses, reports, and recommendations.
Develop and help direct the implementation of strategic business, operational plans, budgeting, projects, programs, and systems.
Analyze cash flow, cash management budgeting, cost controls, and expenses to guide business leaders.
Analyze financial statements to pinpoint potential weak areas and work with executive management to develop solutions.
Establish and implement short- and long-range departmental goals, objectives, policies, budgets and operating procedures.
Coordinate any due diligence / M&A activity.
Ensure compliance with local, state, and federal financial reporting requirements