Chief Financial Officer - Guadalajara, México - Birdman

Birdman
Birdman
Empresa verificada
Guadalajara, México

hace 1 semana

Rodrigo Fernández

Publicado por:

Rodrigo Fernández

Reclutador de talento para beBee


Descripción
Are you ready to build something meaningful?-
_ Take flight at Birdman_

The company:
Birdman is the leading plant-based supplements and food company in Mexico.

At Birdman we strive to facilitate the transition towards healthier, more sustainable, and cruelty-free food consumption habits through delicious and nutritious plant-based products that customers love.

The global plant-based revolution is just starting and will continue to accelerate in the coming years.

We need the best talent to help us deliver on our promise, increase our reach, and maximize our impact on the planet and people's lives.

We have been growing at rates higher than 100% YoY for 7 years consecutively and expect that trend to continue by opening more business lines as well as expanding to more than 8 countries in the coming years.


_Come build the next Mexican Unicorn with US_

The Role:

As our CFO you will be responsible for protecting Birdman's revenues, profits, liquidity and safeguard an enviroment for the company to continue growing sustainably.

You will be responsible of all aspects of financial management, including corporate accounting, administration, fiscal management, regulatory and financial reporting, budget and forecasts preparation, as well as for the development of internal control policies and procedures.

For all the operative geographies.

As Birdman's CFO you will also be responsible to generate the overall financial strategy as well as will be responsible for assessing the financial performance of the company.

You will lead the accounting, administration, IT and HR functions.


Responsibilities:


  • Protect and drive the company's revenues, profits and liquidity.
  • Drive the company's financial strategy, planning and operations towards excellence.
  • Ensure cash flow is appropriate for the organization's operations. Create a reliable cash flow projection process and reporting structure. Control and evaluate the organization's fundraising plans and capital structure and manage relationships with banks, partners and investors to attain funding if necessary.
  • Prepare reliable current and forecasting financial reports. For each operating country and as a consolidated version in compliance with GAAP and IFRS.
  • Analyze discrepancies between actual results and budgets, identify root causes and coordinate with the operating departments to solve them.
  • Identify cost and expense reduction opportunities and coordinate with the operating departments to capitalize on them.
  • Routinely review revenue cycle metrics to identify and address issues affecting overall performance proactively.
  • Develop and document business processes and accounting policies to maintain and strengthen internal controls.
  • Define, redefine and manage all accounting operations including Billing, A/R, A/P, GL and Counsel, Cost Accounting, Inventory Accounting and Revenue Recognition.
  • Define, redefine and manage all administrative operations related to the Order-To Cash, Requisition-ToPayment, Treasury, Hiring and IT macroprocesses.
  • Generate and conduct internal control processes and policies to avoid malpractices, risks and losses.
  • Define and implement the company's IT strategy to operate more efficiently, manage cyber risk, as well as to guide the company towards overall digitalization.
  • Ensure compliance with the law, company's policies and financial guidelines.
  • Manage and comply with local, state, and federal government reporting requirements and tax filings.
  • Hire, develop, oversee and set targets for all accounting, finance, IT and HR personnel to build an allstar finance function.
  • Implement process automations systems.
  • Implement ERP systems.
  • Build and manage outsourced fiscal and accounting functions for the new geographies to be opened.

Requirements:


Basic Requirements

  • Bachelor's Degree in Administration, Accounting or Finance or similar at top school.
  • Master's degree in Business Administration, Controllership, Corporate finace or similar.
  • Proven experience as CFO, finance controller or relevant role for at least 5 years.
  • In depth knowledge of the accounting, financial management, fiscal management and administration functions.
  • In depth knowledge of corporate financial law and risk management practices.
  • Indepth knowledge of corporate finance and accounting principles, laws and best practices. Including GAAP and IFRS.
  • Indepth knowledge of financial benchmarking, accounting, audit and tax compliance and other regulatory matters.
  • Solid knowledge of financial analysis, controlling and forecasting.
  • Experience defining Order-ToCash, Request-ToPayment, Registry-ToReport, Inventory, and Hiring macroprocesses, procedures, tasks and formats. For the correct execution of the accounting, financial and administrative function.
  • Experienced in C-Suite reporting and executive communication.
  • Ability to strategize and solve problems.
  • Strong leadership and organizational skills.
  • Excelle

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