Overview
The Portfolio CFO role involves working with a reputable advisory and turnaround firm to support various clients experiencing financial challenges. The successful candidate will engage in activities such as cash flow forecasting, restructuring efforts, and stakeholder management, operating across a diverse portfolio of projects. This hybrid position offers the opportunity for long-term career development, potentially leading to partnership within the firm.
Responsibilities
- Support owners, boards, lenders, and management teams during financial stress and transformation.
- Conduct cash flow forecasting and manage liquidity effectively.
- Oversee refinancing and funding processes in collaboration with stakeholders.
- Develop integrated financial models and business plans.
- Manage turnaround and restructuring projects for distressed organizations.
- Provide transaction support for distressed mergers and acquisitions.
- Enhance operational finance processes and systems.
Requirements
- Demonstrated experience as a CFO, Finance Director, or similar in complex business settings.
- Proven track record in working with lenders, funders, and external stakeholders.
- Experience in turnaround, restructuring, or distressed financial situations.
- Strong skills in cash flow forecasting and financial modeling.
- Commercial acumen and a hands-on operational approach.
- Ability to work independently in challenging environments.