Interim CFO

26 Days Old

Join to apply for the Interim CFO role at Alvarez & Marsal
Description
Alvarez & Marsal Private Equity Performance Improvement
Alvarez & Marsal, a leading independent global professional services firm, specializing in turnaround management, performance improvement, and corporate advisory services, is seeking to expand its Private Equity Performance Improvement (PEPI) – CFO Services team in various locations throughout the U.S. With more than 5,500 professionals based in 40 locations across North America, Europe, Asia, and Latin America, our firm excels in problem solving and value creation. Drawing on a strong operational heritage and hands-on approach, our professionals work closely with organizations and stakeholders to help tackle complex business issues and maximize value. We also take interim management roles (CFO, Controller, Treasurer) to lead clients through challenging times.
Our PEPI practice focuses on serving middle market and large cap private equity firms to improve operating results at their portfolio companies. Our services include CFO services (including interim management), rapid results, CDD/strategy, M&A services, and supply chain improvements. The interim CFO will support our private equity clients on a national basis. The ideal candidate will have a CPA and/or MBA, with previous experience as a financial executive in Manufacturing, Industrial, or Consumer Packaged Goods industries. Prior top-tier consulting experience is highly preferred.
Professional Experience
Established track record as a CFO for PE-owned businesses with revenues in the $100 million to $1 billion range REQUIRED
Deep experience in Manufacturing/Industrial/CPG businesses REQUIRED
Prior experience working with private equity backed companies REQUIRED
Prior consulting experience
Experience leading organizations through restructuring, carve-outs, or acquisitions
Proven ability to improve finance organization performance through staff development, process redesign, or systems implementation
Experience building budgets, EBITDA forecasts, and cash forecasts; familiarity with management dashboards is a plus
International treasury and currency hedging experience is a plus
Professional Skills
Strong written, oral, and analytical skills
Proficiency in Excel and PowerPoint
Structured project management skills
Initiative, drive, and critical thinking
Ability to deliver projects on time and with high quality
Flexible and creative thinking
Client relationship skills
Ability to identify operational performance drivers and support broad client issues
Developing findings and strategic recommendations
Qualifications
Bachelor’s Degree in Business, Accounting, Finance, or related field with 10+ years of relevant experience
MBA or advanced certification (CPA, CFA) preferred
Willingness to travel up to 80%
Existing PE relationships are a plus
We embrace diversity and inclusion, fostering an environment where everyone can bring their whole self to work. We are an equal opportunity employer.
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Location:
Boston, MA, United States
Salary:
$250,000 +
Job Type:
FullTime
Category:
Finance, Management & Operations

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