Drive impactful financial strategies for organizational growth and scalability. Collaborate with executive leadership in a dynamic professional services environment. Lead operational improvements and optimize financial processes.
Chief Financial Officer
in Accounting + Finance PermanentJob Detail
Job Description
Overview
- Lead financial operations for a professional services firm, ensuring strategic growth and operational excellence.
- Develop and implement financial strategies to support organizational expansion and profitability.
- Collaborate with executive leadership to optimize firmwide processes and achieve long-term financial goals.
- Oversee back-office functions, driving efficiency and scalability across multiple offices.
- Enhance financial reporting and analytics to improve transparency and decision-making.
- Support mergers and acquisitions with financial due diligence and integration planning.
- Ensure compliance with policies and optimize partner-level financial operations.
- Foster continuous improvement initiatives to streamline workflows and enhance accuracy.
Key Responsibilities & Duties
- Manage budgeting, forecasting, cash flow planning, and financial reporting processes.
- Oversee accounting, billing, payroll, AP/AR, and administrative infrastructure.
- Implement financial controls and standard operating procedures to ensure accuracy and efficiency.
- Optimize financial technology platforms to support firm growth and scalability.
- Lead financial due diligence and modeling for mergers and acquisitions.
- Provide strategic financial guidance to executive leadership and partner groups.
- Enhance partner-level reporting and profitability analysis.
- Drive operational improvements and streamline administrative processes.
Job Requirements
- Bachelor’s degree in Accounting, Finance, or related field; CPA or MBA preferred.
- 10–20+ years of progressive financial leadership experience in professional services.
- Proven expertise in financial operations, budgeting, forecasting, and internal controls.
- Experience with mergers and acquisitions, including due diligence and integration.
- Strong leadership and collaboration skills within a matrixed organization.
- Proficiency in optimizing financial systems and driving operational improvements.
- Ability to manage cash flow, treasury operations, and banking relationships.
- High integrity, sound judgment, and strategic financial acumen.
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