What are the responsibilities and job description for the Chief Financial Officer position at Door Controls USA?
At Door Controls USA, we are always on the lookout for passionate individuals who thrive in dynamic environments. We seek team members who are dedicated to excellence & innovation in the automatic & manual door industry. Ideal candidates should bring a blend of technical skills, customer-focused attitudes, & a willingness to learn & grow with us. Whether you"re an experienced professional or just starting out, we offer opportunities to build a rewarding career within a supportive & inclusive workplace. Join us in delivering high-quality solutions & services to our customers nationwide.
Benefits Package Offered For Full-time Employees
Position Overview
The Chief Financial Officer is a key member of the executive team tasked with helping further accelerate performance and success for the company, in both the short and long term, and support the evolution of the business growth strategy. The CFO oversees Corporate Finance, Accounting, Tax, Treasury, Risk Management, and Internal Financial Controls. This role will have oversight responsibility for the company"s financial management, providing leadership and direction on all financial, planning, and reporting functions to achieve the company"s long-term revenue, profitability, and cash flow goals.
Job Responsibilities
Benefits Package Offered For Full-time Employees
- Medical
- Dental
- Vision
- Accidental Insurance
- Critical Illness
- Supplemental Life Insurance
- Short Term Disability
- Long Term Disability
- 401k Company Match
- Legal Shield
Position Overview
The Chief Financial Officer is a key member of the executive team tasked with helping further accelerate performance and success for the company, in both the short and long term, and support the evolution of the business growth strategy. The CFO oversees Corporate Finance, Accounting, Tax, Treasury, Risk Management, and Internal Financial Controls. This role will have oversight responsibility for the company"s financial management, providing leadership and direction on all financial, planning, and reporting functions to achieve the company"s long-term revenue, profitability, and cash flow goals.
Job Responsibilities
- Develop, implement, and administer financial and accounting policies and procedures.
- Oversee preparation of various internal, external, and regulatory financial reports.
- Manage the processes for financial forecasting and budgets.
- Manage Cash Flow, Treasury, and the capital structure of the corporate balance sheet.
- Present a comprehensive view of a company"s financial health, including assets, liabilities, revenues, and expenses, by aggregating the financial data of all its related entities.
- Build, lead, and provide oversight over a high-performing team and monitor key roles to fit the strategy and build a leadership pipeline for the future.
- Manage banking and other sources of debt or equity capital to help achieve company objectives.
- Provide advice, perform research, and render well-supported thoughts on the accounting ramifications of various transactions from a regulatory, tax, and GAAP standpoint.
- Oversees operations of the accounting, tax, and/or financial reporting functions to ensure compliance with regulatory compliance (including GAAP, FASB, or SEC mandates).
- Conduct due diligence and provide advice on the financial and business implications of potential acquisitions, transactions, joint ventures, or other investments.
- Review tax accruals and trends with responsibility to locate and surface to the management team tax-advantaged strategies and structures. Oversee the preparation of tax worksheets used by the external audit firm to compile the annual Federal and State Income tax returns and audited financial statements.
- Oversee the preparation of the operating budgets based on projected operating costs and the overall asset and liability management plan.
- Work collaboratively with the executive team to align financial objectives with strategic goals.
- Prepare for and coordinate financial audits and ensure compliance with industry and company financial standards and practices.
- Participate in capital allocation decisions with stakeholder input and provide a view of the company"s long-term success.
- Manages the organization"s cash flow and oversees investment activity.
- Develop the organization"s short—and long-term strategies and evaluate past financial performance. Establish and maintain operating budgets and regularly report on actual or forecasted revenues, profits, or losses.
- Exceptional analytical skills
- Exceptional leadership/mentoring, and communication skills
- Ability to drive strategic direction
- Ability to influence others and build collaborative relationships
- Demonstrated ability to develop economical and innovative financial strategies.
- Minimum 15 years of experience in a high-level financial role at a complex, fast-paced organization.
- Detailed knowledge of GAAP and general knowledge of IFRS standards
- Master"s Degree in Accounting, Finance or Business
- Knowledge of Business Central (BC) ERP system
- CPA certification preferred
- Manufacturing experience preferred