CFO
Robert Half - Clare, MI
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Job DescriptionJob DescriptionStart Salary: $160,000 - $200,000 + bonusRobert Half is partnering with one of their clients on their recruitment efforts to find a full-time, direct hire, Chief Financial Officer (CFO) in Clare, Michigan. This role is integral to their organization, providing trusted counsel on financial and broad-based business matters, and contributing to their growth and profitability through effective financial leadership. The CFO will be responsible for a diverse set of functions, including financial planning and analysis, accounting, treasury, tax, and legal.Responsibilities: Develop and oversee the implementation of an effective financial strategy Lead financial planning and analysis to inform decision making across the organization Manage the company's capital structure to meet the needs of a growing business Optimize cost accounting resources to provide leaders with information that supports decision making and margin maximization Drive value creation through smart investments and effective management of the company's cash flow Establish a robust finance organization by determining the optimal mix of in-house and outsourced services for finance and legal functions Recruit, motivate, and mentor a team that can scale with the organization Ensure alignment of financial transaction methods and processes with the company's data needs Monitor and analyze the company's financial statements and operational situation to identify issues, mitigate risk, and develop sound financial recommendations Build productive partnerships with other functions within the company to foster a trusting and effective working environment Must possess a minimum of 15 years of experience in a financial leadership role, preferably as a CFO Proven proficiency in Accounting Functions, including but not limited to, preparing financial reports, setting up accounting systems and managing company finances Demonstrable experience in Auditing, ensuring compliance with financial laws and regulations Extensive knowledge of Budget Processes, developing and implementing budgets in alignment with the company's financial goals Expertise in Capital Management, managing the company's capital structure and budgeting to support growth and profitability Proficiency in Cash Flow Analysis, analyzing and monitoring the company's cash flows to ensure financial stability Experience in Cost Accounting, determining the costs of business activities and helping to set product prices Proficiency in Financial Planning & Analysis (FP& A), interpreting financial data to inform business decisions, and aid in strategic planning.For immediate consideration contact Rochelle Carrasco, Recruiting Manager at 517.325.9054
Created: 2025-04-14