We are looking for a strategic and hands-on Chief Financial Officer (CFO) who will drive the company's financial strategy to achieve breakeven and accelerate growth. This role goes beyond traditional financial management; we need someone who can develop a strategy, monitor KPIs, and provide actionable insights to optimize operations. The CFO will be responsible for securing financing, leading M&A efforts, and acting as the main point of contact with investors. This role requires a strong command of Excel and Business Plan (BP) development.
KEY RESPONSIBILITIES:
Financial Strategy & Hands-On Management:
Lead and execute financial strategies to drive operational efficiency and help the company move toward breakeven.
Oversee daily financial operations, including managing cash flow and complex accounting processes.
Improve financial reporting to accurately reflect the companys unique value and growth potential.
KPI Monitoring & Reporting:
Establish, monitor, and report on key financial KPIs to track the companys financial health and operational efficiency.
Provide strategic financial insights and regular reports to the executive team and the board of directors.
Financing & Investor Relations:
Secure hardware financing by negotiating with multiple banks and financial partners.
Lead the company's capital-raising efforts, including equity and debt financing.
Build and maintain strong relationships with investors, including taking the lead in defending the companys position during negotiations.
Actively engage in M&A opportunities to align with the companys strategic objectives
Prepare financial models, investor presentations, and ensure transparent communication with investors.
Operational Support:
Work closely with other departments to ensure financial strategies are aligned with operational goals.
Provide financial leadership in all major business decisions, ensuring that financial considerations are integrated into company strategy.
QUALIFICATIONS:
Proven experience as a CFO or in a similar financial leadership role in high-growth environments, preferably in startups.
Strong skills in Excel and Business Plan (BP) development.
Demonstrated ability to secure financing, lead investor relations, and negotiate with financial institutions.
Experience in M&A, capital raising, and developing financial strategies to support business growth.
Bachelor's degree in Finance, Accounting, or related field; MBA or CPA preferred.
WHY JOIN US? This is an opportunity to play a critical role in shaping the future of a high-potential startup that addresses one of the main challenges of our generation. If you are a strategic thinker with a hands-on approach and the drive to solve complex financial challenges, we want you on our team.
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