We’re looking for a candidate to fill this position in an exciting company
Contribute to the finance/IT team, Executive Management Team, Board and Shareholder forumsDirect, manage, monitor and oversee cash flow and profitability, utilizing a breadth of financial knowledge, strategies, and the application of processes and procedures to ensure sufficient working capital and efficient cash flowCreate and implement relevant monthly and forward forecasting models for business planning and business redesign to realize the rolling 5-year strategic plans based on past, current, and projected financial conditionsLead measures for review of KPIs in a meaningful and timely fashionDefine financial performance indicators required to execute the financial strategies and goalsAssess organization performance relative to goals and external benchmarksEnsure the risk management policy of the organization is relevant and regularly reviewedComprehensive understanding and record of risks to the organization on the part of the Executive team and leaders throughout the organization, in accordance with the risk management policyAppraises the Company’s financial position and oversees detailed monthly financial and operating reports to senior management and the Board, highlighting concerns and opportunities, including the full set of financial statements and cash flow reports for the CompanyCPA, CA 3+ years of experience at the CFO level, preferably from manufacturing organization Experience in a multi-site company with operations in Canada and the US Experience managing or overseeing the IT or Technology function Experience with syndicated banking facilities, funding, and managing a new funding process.
Note; Dear, this vacancy (or write up) is 100% FREE of cost, please don't pay any fee and DO NOT provide your financial documents, like Credit card/ Debit card and many more to anyone...
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