CFO (Chief Financial Officer)
Ocenco Incorporated
Job Description
Job Description
THE OPPORTUNITY
JOB TITLE: CHIEF FINANCIAL OFFICER (CFO)
REPORTS TO: GROUP CHIEF EXECUTIVE OFFICER (CEO)
JOB SUMMARY
The Chief Financial Officer (CFO) serves as a key member of the executive leadership team and is responsible for Ocenco, Inc.'s overall financial strategy, financial management, and administrative operations. The CFO provides strategic leadership for all domestic and international financial activities, including accounting, treasury, tax, risk management, banking relationships, and legal oversight.
The CFO will partner closely with ownership and executive leadership to support profitable growth, optimize global operations, enhance reporting capabilities, manage risk, and ensure the organization's long-term financial health.
Given the company's international footprint, the CFO will play a critical role in managing global financial structures, international tax planning, foreign currency exposure, cross-border compliance, and consolidated reporting across multiple entities.
DUTIES & RESPONSIBILITIES
Leadership & Executive Partnership
- Serve as strategic financial advisor to the CEO, ownership, and executive leadership team.
- Develop and execute global financial strategy, ensuring alignment with overall strategy & business objectives.
- This includes full accountability for delivery against profit and loss, as well as performance analysis and dynamic interventions to achieve fiscal year financial targets.
- Lead and develop high-performing finance and administrative teams, fostering a culture of collaboration and innovation.
- Present financial performance and strategic recommendations to ownership and leadership.
Financial Management & Administration
- Oversee all accounting, finance, treasury, tax, audit, and internal control functions.
- Financial Planning & Analysis: Oversee budgeting, forecasting, and financial planning processes to support strategic decision-making.
- Ensure timely and accurate monthly, quarterly, and annual financial reporting.
- Maintain compliance with U.S. GAAP and applicable international accounting requirements.
- Manage external audits, tax advisors, and financial consultants.
- Develop and monitor key performance indicators (KPIs) across all business units.
- Oversee cash flow forecasting and working capital management.
- Manage corporate insurance, risk management, and compliance programs.
- Streamline financial operations and processes to enhance efficiency and productivity across all regions.
- Build and maintain strong relationships with leaders across departments to develop a near and long-term strategy, building a wholistic roadmap for delivery.
- Champion the adoption of innovative financial technologies and practices to drive growth and efficiency.
International Finance & Global Operations
- Transfer Pricing Policy
- Develop, implement, and maintain global transfer pricing policies that comply with OECD guidelines and local country regulations.
- Coordinate annual transfer pricing documentation and reporting requirements.
- Partner with external tax advisors to mitigate transfer pricing risk and support tax authority audits.
- Monitor intercompany transactions and ensure arm's-length compliance across global entities.
- International Tax Optimization Strategy
- Develop and execute tax-efficient global operating structures.
- Evaluate international tax planning opportunities while ensuring compliance with local regulations.
- Coordinate global tax reporting and compliance activities.
- Monitor changes in international tax laws, Pillar Two regulations, BEPS initiatives, and other global tax developments.
- Partner with external advisors to minimize global effective tax rates while managing compliance risk.
- Currency Exchange & Foreign Exchange Risk Management
- Establish and manage corporate foreign currency exchange policies.
- Monitor foreign currency exposure and implement hedging strategies where appropriate.
- Evaluate foreign exchange impacts on profitability, pricing, and cash flow.
- Develop reporting processes to monitor currency risks and exposures globally.
- Collaborate with international banking partners to optimize foreign exchange transactions.
- Consolidated International Reporting
- Lead monthly, quarterly, and annual consolidation of domestic and international entities.
- Ensure consistency of accounting policies and reporting standards across jurisdictions.
- Oversee intercompany eliminations, consolidations, and global financial reporting.
- Develop global dashboards and reporting tools to improve executive visibility.
- Drive financial systems integration and reporting standardization across all entities.
- Consolidated International Banking & Treasury
- Manage all domestic and international banking relationships.
- Develop global cash management and treasury strategies.
- Optimize worldwide liquidity and capital allocation.
- Oversee cross-border cash movements and repatriation strategies.
- Negotiate international credit facilities, banking agreements, and treasury services.
- Establish controls and governance surrounding international cash management activities.
Strategy, Planning & Growth
- Develop long-range financial plans supporting strategic objectives.
- Evaluate acquisitions, divestitures, strategic partnerships, and international expansion opportunities.
- Lead financial due diligence and integration efforts for M&A activities.
- Provide financial modeling and scenario planning for major strategic initiatives.
- Support pricing strategies, product profitability analysis, and market expansion decisions.
- Evaluate capital investment opportunities and resource allocation priorities.
Capital, Treasury & Risk Management
- Manage cash flow, liquidity, and investments to ensure sufficient capital to support operations and growth; identify and mitigate financial risks across the organization to ensure financial stability and compliance.
- Manage corporate capital structure and financing strategy.
- Maintain relationships with lenders, investors, and financial institutions.
- Negotiate and manage debt agreements and covenant compliance.
- Lead enterprise risk management initiatives.
- Oversee cybersecurity, insurance, and business continuity planning from a financial perspective.
- Protect company assets through effective governance and internal controls.
Corporate Governance & Compliance
- Ensure compliance with local and international financial regulations and standards in partnership with the subsidiaries’ accounting teams.
- Ensure fiduciary responsibility and financial integrity throughout the organization.
- Maintain strong internal controls and governance practices.
- Support ownership and board-level reporting requirements.
- Ensure compliance with domestic and international regulatory obligations.
- Promote ethical business practices and transparency.
- Serve as the primary financial liaison to the Board of Directors, providing clear financial reports, strategic insights into opportunities and risks, and recommendations to support informed decision-making.
SKILLS/PERSONAL ATTRIBUTES:
Page Break
- Strategic Financial Leadership
- Global Business Acumen
- International Tax & Treasury Expertise
- Strong Executive Presence
- Operationally Oriented
- High Integrity & Sound Judgment
- Collaborative Leadership Style
- Exceptional Communication Skills
- Change Management Capability
- M&A Experience
- Analytical & Data-Driven
- Strong Negotiation Skills
- Growth-Oriented Mindset
- Cross-Cultural Leadership Ability
- Ability to Balance Strategic and Tactical Responsibilities
- Relationship Builder
- Results-Oriented
- Forward-Thinking & Innovative
Page Break
EDUCATION & EXPERIENCE:
Required
- Bachelor's degree in Accounting, Finance, Economics, or related field.
- Minimum 15 years of progressive financial leadership experience.
- Minimum 5 years serving as CFO or senior finance executive.
- Experience leading finance functions within a privately held company.
- Strong understanding of manufacturing operations and cost accounting.
- Experience managing multi-entity domestic and international operations.
- Proven experience with global consolidations and international banking relationships.
- Experience with ERP systems and business intelligence reporting tools.
Preferred
- CPA designation
- MBA or advanced business degree.
- Experience in industrial manufacturing, safety products, medical devices, or engineered products industries.
- International tax and transfer pricing experience.
- Mergers & acquisitions experience.
- Multi-currency treasury management experience.
- Global distribution and international subsidiary experience.
KEY INITIATIVES (Initial 0-24 months):
Build a World-Class Global Finance Organization
- Enhance financial reporting, forecasting, and business analytics capabilities.
- Improve visibility into profitability by region, product line, and legal entity.
- Consolidate international banking
Strengthen International Financial Infrastructure
- Implement formal transfer pricing and international treasury frameworks
- Develop and implement a currency exchange policy
- Standardize reporting and controls across all global entities
- Initiate and implement management fees for Ocenco subsidiaries
Optimize Global Tax & Capital Structure
- Evaluate international tax strategies and organizational structures.
- Improve global cash utilization and banking efficiency.
Enhance ERP & Business Intelligence Capabilities
- Improve reporting automation, data integrity, and executive dashboards.
- Increase visibility into operational performance and decision-making metrics.
- Improve currently fragmented ERP systems across entities
- Develop consolidated board reporting
Support Strategic Growth
- Provide financial leadership for acquisitions, partnerships, and international expansion initiatives.
- Develop scalable financial infrastructure to support long-term growth objectives.
Ocenco Incorporated provides equal employment opportunities to all employees and applicants for employment and prohibits discrimination and harassment of any type without regard to race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state or local laws.
- EMCO Chemical Distributors, LLC seeks an Executive Assistant to support the General Counsel and Chief Financial Officer. The role is based at our Pleasant Prairie, WI headquarters with potential for limited remote work. The ideal candidate will have 4-6 years of executive...SuggestedWork at officeRemote work
- Controller- CFO Succession opportunity- Northern Suburbs LHH is partnering with a well‑established, privately held distribution company... ..., quarterly, and annual close process and ensure accurate financial reporting Oversee general accounting operations including reconciliations...SuggestedLocal area
- ...created Controller role designed to strengthen the accounting leadership and provide succession planning for the future. Reporting to the CFO, you will own core accounting and reporting while gradually taking on treasury and strategic finance tasks, with potential to move...Suggested
- ...CFO Opportunity At Alec Credit UnionAlec is one of the largest credit unions in Illinois, backed by the strength and stability of over... ..., we work hard to prove our commitment to provide the very best financial products and services to more than 30,000 ALEC members. We...SuggestedHourly payTemporary workLocal area
- ...Corporate AP operations for our privately held company.You’ll lead and develop a high-performing team while improving AP processes, financial controls and operational performance. Use your expertise to drive accuracy, efficiency and long-term success across the business....SuggestedFull time
- Uline is seeking a Director of Accounts Payable at Corporate Headquarters in Pleasant Prairie, WI to lead and strengthen our AP operations. You will build and mentor a high-performing team, drive accuracy and efficiency in invoice processing, and enhance internal controls...
$180k - $200k
...Job Title: Director of Financial Planning and Analysis Location: Pleasant Prairie, Wisconsin Hybrid: 3 days onsite/week Salary: $180,000-$200,000 + 20% Annual Bonus About the Chemical Manufacturing Company / The Opportunity: This is an opportunity to lead the accounting...3 days per week- ...Reporting directly to the Chief Financial Officer, the Director of FP&A will serve as a strategic finance partner to the executive leadership team... ...and operational decisions, and work directly with the CFO and PE sponsor shaping the future of the business. POSITION...Work at office
$105k - $125k
...a Tangible Impact on Our Manufacturing Operations! We are seeking a dynamic and hands-on Cost Accounting Manager to become the financial backbone of our state-of-the-art manufacturing facility in Pleasant Prairie, WI. Reporting directly to the Controller, you will partner...Temporary workRemote workFlexible hours- ...liquidity, returns, and risk management. Develop, monitor, and execute strategies for cash sources and uses to support the company’s financial objectives. Base pay range $100.00/yr - $170.00/yr This range is provided by PeopleShare. Your actual pay will be based on your...Full timeLocal area
- ...RequirementsBachelor's degree.CPA designation with 5+ years of Accounting experience.3+ years proven leadership skills.Proficient in Microsoft Office; Oracle G/L or similar systems a plus.BenefitsComplete health insurance coverage and 401(k) with 6% employer match that starts day...Full timeWork at office
- Talently is seeking a Director of Financial Planning and Analysis in Pleasant Prairie, Wisconsin. This hybrid role requires strong leadership in financial functions, focusing on optimizing budget, forecasting, and reporting for this private equity-backed manufacturing firm...
- Uline, a family-owned leader in shipping and packaging materials, seeks a Director of Accounts Payable to lead and strengthen Corporate AP operations at its Pleasant Prairie headquarters. You will build and coach a high-performing team, drive process improvements, and uphold...
- ...Prairie, WI We are seeking a Cost Accounting professional to take ownership of manufacturing cost accounting, inventory controls, and financial analysis. What You'll Do Manage and maintain standard costs for materials, labor, and overhead across a large SKU portfolio....Temporary workFlexible hours
- ...influence big-picture decisions. You’ll work directly with senior leadership and partner with teams across the world, helping drive financial strategy, performance, and growth at an enterprise level. This is a high‑visibility role where you’ll be reviewing financials from...Contract work
- ...The Opportunity: Smurfit Westrock is seeking a Finance Manager to serve as the financial leader and strategic business partner for one or more manufacturing facilities. Reporting to the Area Sr. Finance Manager and site General Manager, this role is responsible for...
- ...setting. The Finance Director is responsible for leading financial planning and analysis processes, including budgeting,... ...generally accepted accounting practices. Collaborate with the Chief Executive Officer, Board Treasurer and Finance Committee to develop annual...Work experience placementLocal area
- ...supporting day‑to‑day accounting operations for the corporate office and plant locations. The exact scope of responsibilities will be... ...guidance on intercompany transactions, payroll, AP, tax, and other financial obligations Serve as a key player in the implementation and...Temporary workWork at office
- ...seeking a Director of FP&A in Pleasant Prairie, WI. In this high-impact role, you will partner with the executive leadership in shaping financial strategies and reporting systems. You will have ownership over financial analytics and be crucial in decision-making processes,...
- Concept Labs in Pleasant Prairie, WI is seeking a Cost Accounting Manager to drive manufacturing finance operations. You will partner with various departments to provide clear cost visibility and optimize our ERP system while managing inventory controls. The ideal candidate...
- Uline is seeking an experienced Accounting Manager to oversee corporate Accounting operations at its Pleasant Prairie, WI headquarters. The role emphasizes process improvement, mentoring, and building strong internal controls within the corporate accounting team. The position...
$130k - $150k
Every day, we get opportunities to make a positive impact - on our colleagues, partners, customers and society. Together, we’re pioneering the solutions of the future and unlocking the full potential of precious resources. Trusted to act on initiative, we challenge conventional...Full time- Allurehcs in Zion is seeking a Director of Human Resources/Payroll to lead the HR department, ensuring compliance with regulations while managing personnel processes. The role includes payroll processing, employee relations, and overseeing hiring procedures. Candidates...
- About Us All of us at Palmen Motors live and work in the community. We are your friends, neighbors, and customers. Every one of us promises to treat you like family, whether you are servicing your vehicle or purchasing a new one. Any business is only as good as its people...Local area
- Lynch Family of Dealerships in Kenosha, Wisconsin, is seeking a Dealership Office Manager to oversee financial operations and personnel. The Office Manager will provide critical sales and expense analysis to the General Manager and ensure accuracy in the financial/accounting...Work at office
- A leading manufacturer in corrugated packaging is looking for a hands-on Accounting Manager to enhance their finance team. This role, reporting to the Corporate Controller, entails overseeing the general ledger accounting, cash management, and supporting accounting operations...
$178.78k
...business unit. This role is responsible for ensuring the accurate financial administration of projects, including revenue recognition,... ...with enterprise financial systems (such as Oracle) and Microsoft Office applications, particularly Excel. Demonstrated experience leading...Work experience placementH1bWork at officeRemote work$135k - $145k
...skills with the ability to interact with stakeholders. ~ Must be able to travel based upon base location. ~ Proficient in Microsoft Office. Experience with SAP-PM or similar computerized maintenance management system software preferred. ~ Fluent in English. Bilingual...Full timeTemporary workWork at office- TEKsystems is seeking a Senior IT Project Manager to lead a large enterprise integration arising from a merger and acquisition. You will coordinate multiple technology workstreams, drive planning and governance, and ensure timely delivery of critical milestones across infrastructure...
$65 - $75 per hour
Top Skills 10+ years of Infrastructure Project Management experience in a global environment Experience managing M&A or Divestiture related projects Strong coordination, reporting, presentation, communication and follow up/tracking skills (PowerPoint, PowerBi, Excel ...Contract workTemporary work
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to CFO (Chief Financial Officer). Be the first to apply!


