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Chief Financial Officer – Lit Capital LLC, Miami Beach, FL
We are seeking a strategic financial leader to develop and manage financial projections, accounting services, growth plans, and staff direction to forecast future revenue and allow for fluctuations in business models. The CFO will communicate and enforce values, policies, and procedures to execute major financial activities while upholding transparency, accountability, and integrity.
Responsibilities:
- Develop and manage financial projections, accounting services, growth plans, and staff direction to forecast future revenue.
- Communicate and enforce values, policies, and procedures to execute major financial activities while upholding transparency, accountability, and integrity.
- Create and implement programs in recruiting, training, coaching, discipline, and communication to support a multitude of scaling investment opportunities.
- Design financial, accounting, and analytical techniques to achieve firm-wide goals and objectives, applying financial organizational strategies to establish internal and external investment ventures.
- Forecast capital, facility, and staffing requirements, focusing on sustainability, profitability, and scalability in meeting client goals as defined within contractual obligations.
- Monitor financial performance by analyzing metrics such as cash flow, working capital, gross profit margin, net profit margin, and return on equity to identify and remedy inefficient procedural processes.
- Lead negotiations on potential acquisitions, leveraged buyouts (LBOs), or growth equity investments.
- Conduct financial modeling, valuation analysis (DCF, LBO, precedent transactions, public comparables) to assess investment opportunities.
- Perform industry, market, and competitive analysis to evaluate investment risks and returns.
- Work with legal and tax professionals to optimize investment structures.
- Oversee deal structuring, financing strategies, and capital allocation for portfolio companies.
Qualifications:
- Experience developing financial strategies, budgets, forecasts, and risk assessments.
- Experience with GAAP (Generally Accepted Accounting Principles) and IFRS (International Financial Reporting Standards).
- Experience with and understanding of preparing and reading financial statements.
- Investment & Capital Management experience.
- Experience optimizing capital structure, managing assets, and overseeing investment portfolios.
- Experience in Mergers & Acquisitions (M&A), due diligence, financial modeling, and corporate restructuring.
- Experience in Banking & Financial Services.
- Experience with capital markets, lending, and risk management.
- Executive Decision-Making experience.
- Experience analyzing data to drive strategic business decisions.
- Proficiency in Excel (advanced financial modeling), Power BI / Tableau, QuickBooks, PowerPoint, and Pitchbook.
- Bachelor’s degree in Business Administration, Finance, or related field (or foreign equivalent).
- At least seven years of experience as an investment banker, statutory auditor, or related occupation.
- Completion of the Series 79 and SIE exams required.
- Chartered Accountant qualification or passage of level 3 CPA required.
Option to work from home partially is available (Hybrid position). Travel required; 20% to New York, Philadelphia, and other domestic and international locations.
Salary: $750,000 to $1,200,000/year.
Please send CV to View email address on click.appcast.io.
#LI-DNI
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