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CFO

Job in Coral Gables, Miami-Dade County, Florida, 33114, USA
Listing for: TalentoHC
Full Time position
Listed on 2026-01-29
Job specializations:
  • Finance & Banking
    Financial Manager, CFO, Corporate Finance
  • Management
    Financial Manager, CFO
Job Description & How to Apply Below

Chief Financial Officer

The CFO will be responsible for leading the health, growth & financial performance of Talento

HC with a primary emphasis on strategic planning, FP&A, accounting, treasury, tax, legal, and procurement functions. The CFO is responsible for creating, managing and optimizing corporate services for a high growth organization delivering world class hiring experiences through highly engaged teams and scalable processes and programs.

The role will play a pivotal role in driving the organization’s growth to $1B by 2040. As a leader, the role ensures the performance of the business by developing market operating & financial plans that set a north star for each unit. This leader’s obsession for developing capabilities, instilling metrics & productivity into how the business is run, promoting and prioritizing scalability, and developing strategic internal human capital will proliferate healthy growth.

The CFO will play a pivotal role in the multi-year capitalization and liquidity strategy to drive sustained organic & inorganic growth across the globe.

What you would be responsible for

Leadership

  • Lead the health, growth & financial performance of the business through yearly, quarterly, monthly and weekly planning, goal setting and management methods/systems
  • Oversees the development and maintenance of the roadmap for Talento.
  • Develop financial business intelligence dashboards for operational performance management.

Strategic Planning

  • Authors and proactively collaborates with all levels of the organization to deliver on the overall strategic plan for the organization.
  • Leads development of the mid-term strategic financial plan/model and associated analysis including assessment of future business needs and competitive analysis

Financial Planning & Analysis

  • Serve as a business partner to management to guide long, mid and short-term decision-making ensuring growth and financial health of the organization.
  • Drive the creation and ongoing management of yearly, quarterly and monthly objectives. Create budgetary plans and administer focused cost management practices in alignment with strategic plan. Serve as the single source of financial performance.
  • Create, manage and execute financial reporting rhythms that drive productivity and business performance ensuring management decision support. Assemble and summarize data to structure sophisticated reports on financial status and risks. Consolidate and analyze financial data (budgets, income statement forecasts etc) taking into account goals, objectives and financial standing.
  • Develop financial models, identify trends, track and determine financial status by analyzing actual results in comparison with forecasts. Provide alternatives and recommendations to reduce costs and improve financial performance. Conduct business studies on past, future and comparative performance and develop forecast models.

Accounting, Accounts Payable, Accounts Receivable, Payroll, Tax

  • Administers and prepares entries for the general ledger, balance sheet and profit/loss statement ensuring accuracy and proactive data entry/book-keeping. Manages the monthly, quarterly and annual close process.
  • Produces weekly reports for leadership team ensuring accuracy of all financial elements in accounting system. Optimizes the accounting and finance system to drive automation and accuracy. Maintains accounting controls by preparing and recommending policies and procedures.
  • Ensures compliance with federal, state, and local financial legal requirements by studying existing and new legislation, enforcing adherence to requirements, and advising management on needed actions.
  • Administer the billing, collections and all associated A/R & A/P processes. Administer loans & lines of credit.
  • Project cash-flow requirements and manage ongoing cash position to meet the liabilities of the company. Check banking balances ensuring adequate funding is in place.
  • Manage all tax planning, filings, and compliance in-consultation with CPA firm.
  • Act as support to HR, with the companies bi-weekly payroll & monthly/quarterly bonus payout structures for salaried & hourly associates and facilitate audits as needed.

Treasury

  • Develop the long-term capital strategy to scale to $1b by 2030.
  • Interact and manage banking, venture capital, family office & private equity partnerships.

Legal, Insurance, Procurement, Administration

  • Regularly partner with business functions to analyze and report on the financial impact of decisions across the company
  • Manage all back- office launches in support of new market entries in the US, Latin America, Asia, and Europe.
  • Manage the Procurement and buying process for all services spend ensuring adequate and efficient operating expense management.
  • Implement digital processes & technology tools that are secure and reliable to administer to the company.

Corporate Development / Mergers & Acquisitions

  • Serve as the primary financial interface with ownership & shareholders of target companies.
  • Drives the evaluation of targets during the…
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