
Director of Finance
Royal Search Group, Winston Salem, NC, United States
Our client is seeking a strategic and hands-on Director of Finance to lead financial planning, reporting, and analysis while serving as a key partner to executive leadership. This role offers strong visibility across the organization with exposure to high-level strategic initiatives, capital planning, and executive decision-making.
Key Responsibilities:
Lead the company’s financial planning & analysis (FP&A) function, including budgeting, forecasting, and long-range planning
Oversee monthly, quarterly, and annual financial reporting, including variance analysis and actionable insights
Own and manage P&L forecasting, with visibility into balance sheet and cash flow impacts
Serve as a strategic partner to the leadership team, providing financial insights to guide business decisions
Drive capital allocation strategy, including investment analysis and ROI optimization
Oversee cash flow management, liquidity planning, and banking relationships
Present board-level and investor reporting materials
Ensure strong financial controls, compliance, and risk management frameworks
Oversee treasury functions, including cash forecasting and risk mitigation
Partner cross-functionally with operations, accounting, and executive leadership to drive performance
Evaluate and implement financial systems, reporting tools, and process improvements to support scalability
Qualifications:
Bachelor’s degree in Finance, Accounting, or related field (MBA or advanced degree preferred)
CPA (preferred)
7–10+ years of progressive experience in finance, FP&A, or corporate finance
Proven ability to operate both strategically and tactically in a fast-paced environment
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Key Responsibilities:
Lead the company’s financial planning & analysis (FP&A) function, including budgeting, forecasting, and long-range planning
Oversee monthly, quarterly, and annual financial reporting, including variance analysis and actionable insights
Own and manage P&L forecasting, with visibility into balance sheet and cash flow impacts
Serve as a strategic partner to the leadership team, providing financial insights to guide business decisions
Drive capital allocation strategy, including investment analysis and ROI optimization
Oversee cash flow management, liquidity planning, and banking relationships
Present board-level and investor reporting materials
Ensure strong financial controls, compliance, and risk management frameworks
Oversee treasury functions, including cash forecasting and risk mitigation
Partner cross-functionally with operations, accounting, and executive leadership to drive performance
Evaluate and implement financial systems, reporting tools, and process improvements to support scalability
Qualifications:
Bachelor’s degree in Finance, Accounting, or related field (MBA or advanced degree preferred)
CPA (preferred)
7–10+ years of progressive experience in finance, FP&A, or corporate finance
Proven ability to operate both strategically and tactically in a fast-paced environment
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