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We are looking for an experienced and strategic VP of Finance to join our team in Fresno, California. In this role, you will lead the financial operations of the organization, driving success through effective planning, reporting, and compliance. This position offers the opportunity to shape financial strategies and contribute to the growth and long-term sustainability of the company.
Job Responsibility:
Direct financial planning, budgeting, forecasting, and reporting efforts to align with organizational goals
Oversee accounting operations, including month-end and year-end close processes, audits, and adherence to company policies
Provide strategic financial insights and recommendations to support key business decisions and overall company direction
Develop and maintain financial models and analyses to guide strategic initiatives and business growth
Manage treasury operations, including cash flow monitoring and risk mitigation strategies
Lead and mentor finance and accounting teams, fostering a culture of innovation and accountability
Collaborate with departmental leaders to assess financial performance and identify opportunities for improvement
Build and maintain relationships with external auditors, banks, and financial institutions to ensure smooth operations
Ensure compliance with regulatory requirements and implement effective internal controls
Support mergers, acquisitions, and investment activities to drive organizational expansion when necessary
Requirements:
Bachelor’s degree in Accounting, Finance, or a related field
At least 10 years of progressive leadership experience in finance or accounting, preferably within manufacturing or related industries
Expertise in financial modeling, forecasting, and business analytics
Demonstrated ability to manage multi-department budgets and execute strategic financial plans
Strong communication and leadership skills, with the ability to collaborate across all organizational levels
Proven experience in month-end close processes and financial reporting
In-depth knowledge of cash flow forecasting and treasury management
Familiarity with regulatory compliance and internal control practices