Chief Financial Officer - Toronto, Canada - K2 Group

K2 Group
K2 Group
Verified Company
Toronto, Canada

2 weeks ago

Sophia Lee

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Sophia Lee

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Description

Chief Financial Officer


K2 Group is a privately held, fully integrated company that strategically acquires, develops, constructs, and repositions hospitality, petroleum, and real estate assets throughout Canada and USA.

We are currently seeking a motivated CFO responsible for the company's financial and risk management operations.

The primary responsibility includes the development of an operational and financial strategy, metrics tied, and managing financial results and preserving company assets.


This role presents an exciting opportunity to be part of a company entering a new era of growth and operation.


Responsibilities:


  • Develops organization prospects by studying economic trends and revenue opportunities, projecting acquisition and expansion prospects and analyzing organization operations.
  • Identifying opportunities for improvement, cost reduction, and systems enhancement; and accumulating capital to fund expansion.
  • Monitors financial performance by measuring and analyzing results, initiating corrective actions, and minimizing the impact of variances.
  • Reports financial status by developing forecasts, reporting results, analyzing variances, and developing improvements.
  • Develops financial strategies by forecasting capital, facilities, and staff requirements; identifying monetary resources; and developing action plans.
  • Assess and evaluate the financial performance of the organization regarding shortterm and longterm operational goals, budgets, and forecasts.
  • Stand up the financial function, establish controls, processes, reporting, and workflows.
  • Identifying opportunities for automating processes and increasing efficiency on a frequent basis.
  • Create and establish yearly financial objectives that align with the organization's plan for growth and expansion.
  • Review all monthend closing activities, including general ledger accounts, balance sheet and statement of activities, financial accounts reconciliations, and cost allocation.
  • Responsible for the entire treasury management processes, including cash flow planning, daily cash management, accounts payable and receivable operations, and bank authorizations and processes.

Requirements:


  • Bachelor's degree or higher in Finance, Accounting, Business, or related field is preferred.
  • Minimum of 35 years of previous financial and/or hospitality experience.
  • Experience and qualifications in accounting, financial reporting, cash management and forecasting.
  • Excellent communication, negotiation, and presentation skills.
  • Capacity to work independently and collaboratively while handling multiple assignments.
  • Ability to travel and work flexible hours and days.
  • Must have a valid Driver's License.

Job Types:
Full-time, Permanent


Schedule:

  • 8 hour shift
  • Monday to Friday

Work Location:
One location

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