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Chief Financial Officer

Las Vegas, NV, USA | CannabizTeam

  • Industry:
    HR / Recruitment Services
  • Position Type:
  • Functions:
    Finance (Internal)
    General Management
  • Experience:
    10-12 years
Job Description:
55 people have viewed this job

As a true business partner to the executive team, the CFO will assist in managing all aspects of the finance and accounting function for the holding company and their subsidiaries.

In addition, the CFO will assist with executing the company strategy, raising capital, developing financial forecasts, managing the local and remote accounting teams, handle detailed financial reporting, as well as develop tools and systems to provide critical analytical financial and operational information to the CEO.

Job Responsibilities:

Assume full responsibility for managing the company’s financial functions, including overseeing the remote accounting team and producing timely and accurate financial reports to the executive management team.

Assist the CEO in raising capital in the private and public markets by speaking on the company's business model and financial model to institutional investors and analysts.

Represent the Company and future financial performance to financial partners, including financial institutions, investors, auditors, public officials, etc.

Analyze acquisition targets, joint ventures and strategic investments. Assist in building financial models around each of these relationships and work with legal to craft beneficial contracts

Develop and lead financial strategy, goals and objectives for fast growing business lines in three subsidiaries.

Oversee long-term budgetary planning and costs management

Participate in key decisions pertaining to strategic initiatives, operating model and operational execution

Prepare and maintain regular financial planning reports; Monthly profit and loss forecast by division (vs. budget); Weekly cash flow forecast

Assist in establishing yearly objectives and meeting agendas, and selecting and engaging outside consultants (accounting team, auditors, investment advisors)

Complete analysis of financial results; Develop recommendations (strategic and tactical). Develop and execute analysis of various business initiatives (e.g., new product lines, new formulations, etc.)

Engage with the Executive Management team re finance, audit, and investment committees around issues, trends, and changes in the operating model(s) and operational delivery

Oversee cash flow planning and ensure availability of funds as needed. Manage cash flow providing short and long-term cash flow planning.

Oversee cash, investment, and treasury and asset management effectively

Develop and utilize forward-looking, predictive models and activity-based financial analyses to provide insight into the organization’s operations and business plans

Coordinate the development and monitoring of budgets

Participate in corporate policy development as a member of the senior management team

Engage the finance committee of the board of directors to develop short, medium, and long-term financial plans and projections

Build and oversee remote accounting team to ensure proper maintenance of all accounting systems and function

Implement and maintain appropriate internal controls and financial procedures

Coordinate audits and proper filing of tax returns

Serve as a key point of contact for external auditors; Manage preparation and support of all external audits

Ensure legal and regulatory compliance regarding all financial functions

Oversee preparation of month-end, quarter-end, and year-end financial statements

Review all month-end closing activities including general ledger maintenance, balance sheet reconciliations and corporate/overhead cost allocation

Enhance and implement financial and accounting systems, processes, tools and control systems

Serve as final point of escalation for Accounts Receivable/Accounts Payable issues

Develop and manage accounting staff as needed – locally or remote

Job Requirements:

Bachelor’s Degree in Accounting or Finance required

10+ years of Finance and Accounting experience in a manufacturing environment preferred

Strong cost accounting and product pricing knowledge preferred

IRS Code 280e tax accounting experience a plus

CPA designation is a plus with audit experience

Experience presenting to investors and raising capital

5+ years of experience in both FP&A and Reporting roles at a Corporate/Division.

Experience in both traditional as well as entrepreneurial companies

Excellent written and oral communication skills

Demonstrate a high level of emotional intelligence, leadership ability, team management, and effective communication skills

Excellent analytical and abstract reasoning skills, plus excellent organization skills

Extremely well organized, data driven and comfort managing multiple projects/ stakeholders


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