About the job: We have a great opportunity for exceptional executive talent to work with us! Oil & Gas Industry Company | Offshoring - We are looking for talent for the position of Chief Finance Officer.
Summary: The ideal candidate will be responsible for financial strategy, financial planning and analysis, financial reports, company audits, compliance, and bank relationships. They will collaborate with the CEO and the executive team to make decisions regarding the company's financial strategy and operations. The candidate will possess a strong background in finance and management.
Responsible for administering, evaluating, and supervising the activities related to the obtaining and use of economic and financial resources, as well as the financial evaluation of projects, with the aim of efficiently fulfilling the aims, plans, and objectives of the Company; managing the liquidity of the Organisation; implementing a system for cost control, analysis of investment possibilities, ensuring that the process is carried out on the best terms to obtain bank financing, promoting projects in alternative markets and globally.
Duties and Accountabilities of the role: Directing and defining the strategies, guidelines, and regulations of the areas under his responsibility (Finance), monitoring compliance.Establishing, reviewing, and approving budgets and finance programmes, identifying and evaluating opportunities for growth and projection of material and human resources that allow the company's objectives to be met.Leading and defining revenue and costs strategies, considering the cash flow needs of the company, analysing financial statements and business needs, in order to optimise the allocation of the Organisation's resources.Consolidating and monitoring the company's strategic plan, informing the management team and the Board of Directors of its progress, in order to ensure that the company is successful in achieving its objectives.Counseling and supporting functional areas in defining or redesigning their key processes, analysing or redefining together what changes or improvements are required to contribute to the enhancement of the company's operations, focused on optimising the company's profitability and liquidity.Representing the company jointly with the General Management before investors and financial entities, ensuring the delivery of information on the financial situation of the company, its development plans, investment, leverage, financing, and results, through the delivery of the requested reports, in order to accurately reflect the company's progress and facilitate decision-making by the General Management and the Board of Directors.Generating and presenting financial and tax strategy recommendations to the CEO.Ensuring legal compliance on all financial functions and managing relationships with banks.Requirements: Bachelor of Public Accounting.CPA or MBA (preferred).7 - 10 years of finance expertise.Previous experience of at least 5 years as CFO and/or in a similar position.Experience in corporate restructuring | Imperative.Bilingual English | Spanish.Willing to relocate.Proficiency in Microsoft Excel.Skills: Financial AcumenStrategic ThinkingLeadership and team managementDecision maker and good delegatorNegotiator & AnalyticalEffective communicationTechnological Knowledge
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