Job Title: Vice President of Financial Operations
Location: Remote (Office in San Francisco, CA) Travel Required.
Reports To: Chief Financial Officer
Job Type: Full-time
About the Company:
My client is a pioneering in-store media solutions company, seeking a dynamic and experienced professional to join their executive team as the Vice President of Financial Operations. This role is instrumental in driving financial strategies, managing cash flow, and fostering growth in a dynamic and rapidly evolving industry.
Responsibilities:
- Cash Management: Effectively manage and optimize cash flow, ensuring liquidity and financial stability.
- Financial Forecasting: Develop and maintain comprehensive financial growth plans and metrics, providing valuable insights for strategic decision-making.
- Financial Modeling: Utilize advanced financial modeling skills to analyze and project financial performance, supporting key business initiatives.
- Client-Facing Engagements: Collaborate with clients on financial matters, building and maintaining strong relationships to drive mutual success.
- Performance Improvement Plans: Develop and implement performance improvement plans, working closely with cross-functional teams to enhance operational efficiency.
- Turnaround & Restructuring: Leverage 5+ years of experience in turnaround, restructuring, or performance improvement to navigate challenges and drive positive change.
- Cash Flow Forecasting: Demonstrate specific, extensive experience in building cash flow forecasts from scratch, including the critical 13-week cash flow forecast.
- Interdisciplinary Collaboration: Work seamlessly with interdisciplinary groups, including heads of procurement, accounting, and FP&A, to align financial strategies with overall business objectives.
- KPI Monitoring: Establish and monitor operational and financial Key Performance Indicators (KPIs) and metrics to drive performance improvements.
- Stakeholder Engagement: Comfortably engage with C-Suite executives and investors, presenting financial insights and contributing to strategic discussions.
Qualifications:
- 5+ Years Experience: Proven track record with 5+ years of experience in turnaround & restructuring or performance improvement roles.
- Financial Modeling Skills: Strong proficiency in financial modeling, with the ability to analyze complex financial data.
- Cash Flow Forecasting: Specific and extensive experience building 13-week cash flow forecasts from scratch.
- Interdisciplinary Collaboration: Ability to collaborate effectively with diverse business units, including procurement, accounting, and FP&A.
- KPI Monitoring: Prior experience in generating and monitoring operational and financial KPIs and metrics.
- Stakeholder Management: Comfortable working with C-Suite executives and investors, presenting financial insights and contributing to strategic discussions.
If you are a seasoned financial professional seeking a challenging and impactful role with a market leader, we invite you to apply for this exciting opportunity.
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