Job Description
Diversified Sourcing Solutions is looking for a contract to hire an Experienced Corporate Financial Manager for one of our premier clients in northwest Houston (Jersey Village area). As a Corporate Finance Manager, you will play a pivotal role within the leadership team. Your primary focus will be supporting the Executive Team in organizational growth and successfully executing their Business Plan. Operating independently in a dynamic private equity (PE) environment, youll provide strategic leadership to ensure the Group achieves its objectives.
Responsibilities:
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Strategic Financial Guidance:
- Proactively advise the Group CFO and broader Executive Team on tactical and strategic decisions.
- Deliver high-quality financial analysis and recommendations to facilitate timely decision-making.
- Collaborate closely with stakeholders to align financial strategies with business goals.
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Banking and Financial Relationships:
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Support the Group CFO in managing all banking relationships:
- Day-to-day banking operations
- Long and short-term loans
- Revolving credit facilities
- Bonding and derivative instruments
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Liquidity and Funding Management:
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Work alongside the Group CFO to oversee liquidity and funding needs:
- Coordinate with critical team members (e.g., Supply Chain) for capital expenditure (capex) and inventory requirements.
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Reporting and Planning:
- Lead internal and external stakeholder reporting processes.
- Drive short-term forecasting and budgeting activities.
- Develop and maintain the long-term business plan for the Group.
Detailed Responsibilities:
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Business Support & Performance:
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Collaborate with the Executive Team to:
- Develop and execute the Group Business Plan.
- Create and track budgets and forecasts.
- Provide key performance indicators (KPIs) for effective decision-making.
- Offer recommendations on capital allocation, cash management, and working capital optimization.
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Banking & Treasury Activities:
- Manage day-to-day banking relationships in conjunction with the Group Financial Controller.
- Ensure efficient cash flow management and adherence to financial policies.
Qualifications:
- Bachelors degree in Finance, Accounting, or related field (advanced degree preferred).
- Minimum 10 years of experience in corporate finance, treasury, or related roles.
- Strong understanding of financial analysis, risk management, and banking operations.
- Proficiency in financial modeling and Microsoft Excel, Sage 200, and SAP
- Excellent communication skills and ability to collaborate across functions.
- Detail-oriented, analytical, and results-driven.
- Experience in Oil & Gas or Manufacturing Environment
Core Competencies:
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Strategic Thinking:
- Develop and execute financial strategies aligned with organizational goals.
- Anticipate market trends and adapt proactively.
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Relationship Management:
- Cultivate strong relationships with banking partners and stakeholders.
- Navigate complex financial landscapes effectively.
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Decision Support:
- Provide timely and data-driven insights for informed decision-making.
- Balance risk and reward to drive sustainable growth.
COMPENSATION: $110,000-$120,000 annually (DOE) This is a contract-to-hire position.
- **All employees must be prepared for a background check, 10 panel Drug screen and show proof of eligibility to work in the US.
- If you meet the qualifications of this position, please apply today!
- Diversified Sourcing Solutions is a national search firm that places top candidates with our top customers.
- We are an EEO Employer: Race, Color, Religion, National Origin, Sex, Disability, Age or any other classification protected by law.
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