interim vp of finance & treasury in las vegas

posted
contact
wendy markquart, tatum executive services
job type
contract
salary
US$ 80.00 - US$ 91.00 per hour
apply now

job details

posted
location
las vegas, nevada
job category
Accounting & Auditing
job type
contract
working hours
9 to 5
salary
US$ 80.00 - US$ 91.00 per hour
experience
10 Years
reference number
499465
contact
wendy markquart, tatum executive services
phone
310.598.2233

job description

job summary:

COMPANY SUMMARY:

Our Las Vegas based client is a global holding company which provides innovative plastics manufacturing solutions to the healthcare, consumer package goods and light industrial vertical markets. The site locations, operating within the organization, are internationally aligned with unmatched global reach in the industry. Their proprietary Stacked Integration Model ™ enables them to operate leveraging a high degree of specialization, extensive capacities in end-to-end design, production and assembly, and first-class references in high-end manufacturing.

Interim VP of Finance Treasury

Job Description

Reports to: Chief Financial Officer

FLSA - Exempt

Location: Las Vegas, NV

ROLE:

Our client is searching for an Interim VP of Finance Treasury to be a hands-on leader of their global finance and treasury operations. This is an exciting opportunity to become a strong member of a dynamic corporate Leadership Team. They are looking for a proactive person who will play a key role in managing superior financial planning and accounting for our business.

 
location: Las Vegas, Nevada
job type: Contract
salary: $80 - 91 per hour
work hours: 9 to 5
education: Bachelor's degree
experience: 10 Years
 
responsibilities:

Responsibilities

· Directing all aspects of treasury operations, overseeing all transactions related to general ledger, receivables, payables, cash flow projections, banking operations, total company projections for the board and banks, as well as leverage and liquidity..

· Analyzing company's financial results with respect to profits, trends, costs and compliance with budgets. Issue regular status and ad hoc reports to senior management and the board.

· Providing input to the CFO regard strategic capital financing options to support company growth needs.

· Developing and coordinating all relationships with lending/financial institutions.

· Developing and maintaining all necessary policies and systems, including treasury reporting systems. Ensuring that records are maintained in accordance with generally accepted accounting principles. Oversee treasury operations whether insourced or outsourced

· Assisting senior management in financial planning and results management.

· Coordinating, preparing and reviewing monthly, quarterly, and annual reports and presentations to the board.

· Managing relationships with insurance providers and ensuring compliance.

· Managing all tax planning and compliance with all required federal, state, local, payroll, property and other applicable taxes.

· Managing cash flow.

· Interacting with venture capital partners and board of directors.

· Other finance and administrative duties as required.

 
qualifications:

Qualifications

· 7-10 plus years of progressive financial and analysis management experience including analysis and presentations to investors, board of directors and senior management.

· Experience in a Private Equity or Investment Banking Company working on new acquisitions and capital analysis for acquisition and leveraged acquisitions.

· Experience working in a high-growth start up environment strongly preferred.

· Recent experience scaling a finance operation from inception to at least $300 million in annual revenues.

· Bachelor's degree in Accounting, Finance or Business. MBA or CPA preferred but not required.

· Strong organizational skills, attention to detail, ability to prioritize and meet deadlines.

· Experience in a manufacturing (not service) business with standard and percentage of completion costing environment

· Ability to multi-task in a fast-paced environment with fluctuating priorities and deadlines.

· Ability to work without direct supervision, and efficiently manage tasks and time.

· Merger and acquisition finance experience (pre-closing diligence, synergy tracking, post-closing reporting and 100-day plan monitoring).

Please apply

 
skills: Consulting, $500M-1 billion

Equal Opportunity Employer: Race, Color, Religion, Sex, Sexual Orientation, Gender Identity, National Origin, Age, Genetic Information, Disability, Protected Veteran Status, or any other legally protected group status.

skills

Consulting, $500M-1 billion

qualification

Qualifications 

·       7-10 plus years of progressive financial and analysis management experience including analysis and presentations to investors, board of directors and senior management. 

·       Experience in a Private Equity or Investment Banking Company working on new acquisitions and capital analysis for acquisition and leveraged acquisitions. 

·       Experience working in a high-growth start up environment strongly preferred. 

·       Recent experience scaling a finance operation from inception to at least $300 million in annual revenues. 

·       Bachelor’s degree in Accounting, Finance or Business. MBA or CPA preferred but not required. 

·       Strong organizational skills, attention to detail, ability to prioritize and meet deadlines. 

·       Experience in a manufacturing (not service) business with standard and percentage of completion costing environment 

·       Ability to multi-task in a fast-paced environment with fluctuating priorities and deadlines. 

·       Ability to work without direct supervision, and efficiently manage tasks and time. 

·       Merger and acquisition finance experience (pre-closing diligence, synergy tracking, post-closing reporting and 100-day plan monitoring). 

 

Please apply

responsibilities

Responsibilities 

·       Directing all aspects of treasury operations, overseeing all transactions related to general ledger,    receivables, payables, cash flow projections, banking operations, total company projections for the board and banks, as well as leverage and liquidity.. 

·       Analyzing company's financial results with respect to profits, trends, costs and compliance with budgets. Issue regular status and ad hoc reports to senior management and the board. 

·       Providing input to the CFO regard strategic capital financing options to support company growth needs. 

·       Developing and coordinating all relationships with lending/financial institutions. 

·       Developing and maintaining all necessary policies and systems, including treasury reporting systems. Ensuring that records are maintained in accordance with generally accepted accounting principles.  Oversee treasury operations whether insourced or outsourced 

·       Assisting senior management in financial planning and results management.  

·       Coordinating, preparing and reviewing monthly, quarterly, and annual reports and presentations to the board. 

·       Managing relationships with insurance providers and ensuring compliance. 

·       Managing all tax planning and compliance with all required federal, state, local, payroll, property and other applicable taxes. 

·       Managing cash flow. 

·       Interacting with venture capital partners and board of directors. 

·       Other finance and administrative duties as required. 

educational requirements

Bachelor's degree