|Vice President - Financial Planning and Analysis
|Hattiesburg, Mississippi - United States
|$160,000.00 - $175,000.00 - US Dollars - Yearly
|Bonuses could be as much as 50% of base
|Employer Will Recruit From:
Position is with a dynamic and rapidly growing privately held company in business for many years. Preference is for a well educated financial professional with a solid track record of providing financial planning leadership in treasury and cash management (monitoring cash projections and variances, monitoring all budgets and forecasting compliance with credit agreements, monitoring borrowing), Budgeting and Forecasting (developing and monitoring the annual budgeting process, developing a risk management process for aggregating risk, mitigations and opportunities against budgets, developing models to support enterprise valuation, risk adjusted return and capital allocations between divisions, developing financial presentations to Corporate management, lenders and external parties). Preference is for an MBA (CPA or CFA designation helpful). Would like someone who has had experience with ERP and planning systems with some experience in software selection and implementation preferred. Must be capable of developing and leading a financial transformation of budgeting, planning, forecasting, investment analysis, capital allocation, and M&A Analysis. Superior presentation skills are a must as the position will interface heavily with lenders and potential acquisition targets.
Very visible role within the Corporate Headquarters group of a company poised to hit a billion dollars in revenue in the next 5-7 years. This is a very strategic role that will orchestrate the financial planning necessary to allow for continued growth by providing leadership to drive shareholder value through oversight of a financial planning organization that develops a comprehensive understanding of all key business drivers and sophisticated financial models that enable the team to deliver insightful, value-added analysis across the company. This person should feel comfortable leading presentations for bankers and investment professionals. Must have solid knowledge of 13 week cash flow projections, various valuation models (control vs. minority interest), understand EV and Equity Valuations. Should have experience with mergers and acquisitions. Should have strong experience monitoring cash, developing forecasts, working with various forms of financing instruments, and be comfortable investigating and recommending strategies to structure and raise debt including investor and lender presentations as needed. Prefer someone who has had experience with ERP and planning systems, including software selection and implementation. MBA is preferred (CPA or CFA designation helpful). This company has excellent leadership and is considered to be an attractive place to work. Beautiful offices and a company with a solid future. Someone out of a corporate planning and analysis will work as would someone with an investment banking background.
Minimum of 10-15 years experience in financial planning and analysis in a corporate setting or possibly in investment banking. Must have a solid experience in those areas mentioned in the job description. MBA preferred.
University - Bachelor's Degree/3-4 Year Degree
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