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Cfo Jobs in Pennsylvania

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Job Title: CFO
Company: Start Up Manufacturing Company
Location: Allentown, PA

Description:
$100K+ CFO Industry: Manufacturing / DiversifiedDescription: Duties and Responsibilities: 1.Plan, develop, organize, implement, direct and evaluate the organization's fiscal function and performance. We are a start up and we continue to grow, you must have experience in implementing new systems for improved performance.We need someone to evaluate and implement anERP/MRP system. We are a private company with the potential of going public; experience bringing a company to an IPO would be desired. Did I mention our growth? This will be a tactical position at first, grab the low hanging fruit and tackle the big issues then simultaneously. 2.Understand and support of all of the functional areas through out the company, including accounting, information systems, purchasing, manufacturing, sales, and customer service. 3.Evaluate and advise on the impact of long-range planning, introduction of new programs/strategies and regulatory action. Present information with finesse to the Board of Directors and the principal shareholders. You have got to have the right blend of knowledge and public speaking skills to educate and persuade. 4.Develop credibility for the finance group by providing timely and accurate analysis of budgets, financial reports and financial trends in order to assist the Board and CEO in performing their responsibilities. 5.Develop a reliable cash flow projection process and reporting mechanism that includes minimum cash threshold to meet operating needs. 6.Be an advisor from the financial perspective on any contracts into which the corporation may enter. Qualifications: 1.REQUIRED- BS in accounting of finance. MBA and/or CPA/CMA preferred but not required. 2.Three to five years experience as a CFO for a manufacturing company, start up experience strongly favored. 3.Experience in the oversight and improvement of internal systems, including but not limited to IT, MRP/ERP, HRIS etc. 4.A blend is neededin both strategic and tactical skills. Will need to maintain a "big picture" perspective but also have a strong attention to detail.




Job Title: CFO and Controllers
Company: Aligned Consulting Group
Location: Philadelphia, PA

Description:
Aligned Consulting Group is a professional services firm specializing in providing high-caliber, seasoned Accounting, Audit and Finance professionals for critical projects or to supplement clients' existing internal resources. Our primary focus is middle market and Fortune 1000 companies in the Philadelphia and Greater Delaware Valley. As we continue to expand our corporate footprint, we will need highly motivated and talented professionals who are looking for a new challenge with a growing entrepreneurial company. Aligned Consulting Group is committed to providing its project consultants with not only a dynamic and professionally challenging environment, but also one which fosters teamwork and respect and a place where professional and personal goals can be realized. For more information about us, please visit our corporate web site at www.alignedconsulting.com . JOB DESCRIPTION We are currently seeking contract professionals (consultants) for future interim and part-time CFO and Controller assignments. Experience in the following areas is required: Strong knowledge of GAAP Accounting and Financial Reporting (SEC a real plus) Internal Management Reporting Forecasting & Budgeting Cash Flow Analysis Reviewing cost control measures Evaluating and re-designing financial reporting system Reviewing and strengthening internal controls and SOX compliance Coordinating with auditors Managing of 3 or more staff level employees Reporting directly to CFO or President Comfortable interacting with auditors, bankers and outside counsel Desired Professional Qualifications: * Committed to exceptional client service and professional integrity * BS in Accounting or Finance * 10 - 15+ years experience (including 5+ years as CFO or Controller) * CPA with Big 4 or large regional firm a plus * Excellent communication and problem solving skills * Ability to prioritize and handle multiple tasks




Job Title: Chief Financial Officer (CFO)
Company:
Location: Philadelphia, PA

Description:
Mid-sized financial services firm is seeking a Chief Financial Officer for our Radnor/St. David's location. Will be responsible for financial reporting and will work with our controller and senior management to assess and foster firmwide growth and vitality. Other Responsibilities: Accounting, financial forecasting and risk management operations of the company, and the ongoing development and monitoring of control systems designed to preserve company assets and report accurate financial results. Oversee the management and coordination of all fiscal reporting activities for the organization including: revenue/expense. Investigate cost-effective benefit and compensation plans which the organization may offer employees and potential employees with the goal of attracting and retaining qualified individuals. Interact with other managers to provide support to initiatives through financial and management information analysis, reports, and recommendations. Provide recommendations to strategically enhance financial performance and business opportunities. We offer generous compensation and benefits, health insurance, 401-K, and potential year-end bonuses. The ideal candidate will possess: - 5-10 + years in a current silmilar role. - Solid and proven experience in due diligence for a financial services firm. - The ability to be an idependent thinker who can interpret data while reporting to the Managing Partner and senior partners. - Strong analytical skills and the ability to assess the firm's financial position and make recommendations for growth. - Knowledge of current financial packages and technology. - CPA and /or JD preferred but NOT required. If qualified, please email resume with cover letter. No phone calls please.




Job Title: Chief Financial Officer
Company: Maillie, Falconiero & Company,
Location: Oaks, PA

Description:
Our client, a privately owned distributor, located in the western suburbs of Philadelphia, seeks a Chief Financial Officer to oversee the financial operations the company, monitor accounting and cash management activities, and maximize the financial performance of the company by providing direction and insight into the planning, development, and control of financial operations. This senior position will work directly with the CEO and President in support of the company's strategic and operational objectives. The ideal candidate will be a hands-on, results oriented professional who can effectively oversee and direct all general accounting functions and financial operations relative to the assets, liabilities, and transactions of the company, as well as develop financial analyses relative to budgets, trends, and forecasting methodologies. The CFO will oversee all functions of the Information Systems and will direct the business systems relative to the total quality management procedures. The ideal candidate will posses progressively responsible financial experience, strong financial planning and analysis background with a CPA or MBA preferred; extensive knowledge of finance, accounting, budgeting, and cost control principles; proven track record of implementing financial systems and applying technology solutions to improve processes and access to information; excellent problem solving skills and proven success in an entrepreneurial setting, requiring high standards of performance and excellence. Interested candidates should send resume with salary history to: Maillie, Falconiero & Company, LLP Attn: Dana L. Deardoff, Firm Administrator P.O. Box 680 Oaks, PA 19456-0680 Fax: Register to View Register to View




Job Title: Chief Financial Officer
Company: Diversity Search Partners
Location: Philadelphia, PA

Description:
Chief Financial Officer at Diversity Search Partners in Philadelphia, PA Job Description Job Title Chief Financial Officer, Tricare Overseas Program Location Philadelphia, USA Reports Directly To Chief Operating Officer, Tricare Overseas Program Reports Functionally To Americas Regional CFO Direct Reports Overall Purpose of the Job Manage the Finance, Accounting and Information and Technology (IT) organizations of the Tricare Overseas Program. The position will be responsible for managing the financial, accounting and business processes that contribute to the achievement of the Program's objectives. The CFO should also play a change management role in promoting operating efficiency throughout the Tricare Overseas Program. Specific Responsibilities Key member of the Tricare Overseas Program management team. Overall management responsibility for the Finance and IT teams. Responsible for all processes that improve and/or enhance business and financial management for the Program. Responsible for ensuring that all government (Tricare and non-Tricare) business and client proposals and contracts for US government work conform with the specific requirements of Federal Acquisition Regulations (FAR) Involved in the strategic financial aspects of the Program's business and supports development and implementation of financial objectives for the Program. Ensure that financial management, systems and processes are in place to support the Program's business requirements. Develop accurate and timely financial information and reporting systems to help the Program's managers address key business issues. Ensure that the Program operates within federal contracting government regulations, FAR, Defense Contract Audit Agency (DCAA) regulations, local regulatory guidelines as well as International SOS group financial and accounting guidelines. Forecast gross operating profit (GOP) to be able to make recommendations for business improvements. Develop and audit for proper implementation, the General Accounting Policies and Procedures. Constant review of business and financial parameters and develop business actions that improve the financial strength of the Program. Ensure that the accounting team provides quality service to internal and external customers. Review key business processes and implement key actions that result in business productivity gains. Provide strong leadership to the Finance, Accounting and IT teams for the Program. Build and retain motivated, competent team members. Work effectively with the various functional and operating teams and drive key business metrics. Job Profile Required Skills / Knowledge Demonstrated leadership and management skills, ability to build strong and competent team and able to interact and communicate with all levels of the organization Must have managed Finance and IT teams and have demonstrated ability to develop and implement business processes and systems that contribute successfully to productivity gains. Working knowledge of FAR, government Cost Accounting Standards (CAS) government financial principles and DCAA regulations. Preferable to have experience in a fast paced service environment with strong focus on cash management and working capital cycles. Due to global nature of our business and time zone differences, must show flexibility in dealing with extended work hours to allow for conference calls and business meetings that involve other regions of the world. Required Work Experience Have at least 10 -15 years of working experience in a government business finance and accounting role. Strong track record and experience of cost accounting. At least 7 years of direct management experience. Required Qualifications University graduate with professional accounting and finance qualifications. Must be CPA or international accounting equivalent. Eligible to apply for ADP II clearance Travel Requirements A moderate level of travel will be required, including occasional travel to the global HQ in Singapore Required Languages English




Job Title: IT CFO/VP & Comptroller AIGGS EMEA Based in the UK
Company: AIG
Location: Croydon, PA

Description:
Skip Navigation Job Details IT CFO/VP & Comptroller AIGGS EMEA Based in the UK Job ID #: CWK-LA01 Location: Croydon Functional Area: Finance/Economics Company Name: AIG Corporate Employment Type: Full Time - Regular Education Preferred: Bachelors Experience Required: 10+ years Relocation Provided: No Position Description Job Summary: The successful candidate will be responsible for overall financial performance of the AIGGS EMEA Branch infrastructure operation. The position will report directly to the AIGGS Financial controller based in Livingston, NJ and will have an indirect reporting line to the Regional EMEA COO. The position will have direct accountability for the integrity of the books and records of the entity and oversee the finance and accounting project plan in support of the build out of the new data center. The position will serve as the focal point for financial and accounting activities and managing financial interactions with internal Business Units and other counterparts as required. Oversee the Company's operations and financial results including accountability for the monthly, quarterly and year-end corporate reporting packages and required Certifications. Supervise a small finance/accounting team and interface with the shared services accounting function. Provide financial oversight for the build out and financial management of the EMEA data center including the accuracy of financial reporting required for the U.S. Federal government. Responsible for legal compliance of the Company, continuous effort to develop, enforce and monitor internal control system to ensure all corporate financial policies and procedures including both regulatory and internal governance requirements are followed and implemented. Experience both US and UK accounting policies and practice including Sarbanes-Oxley preferred. Knowledge of foreign currency translations and regional tax laws preferred. Manage the fixed asset life cycle process from procurement through to validation exercises and retirement of the asset. Assess long term financial and strategic goals. Responsible for cash management, coordinate funding with AIGGS parent and investment of the overall Company. Responsible for monthly cash and actuals forecasts Manage capital expenditure and expense forecasts/budgets and financial analysis Manage the AIGGS EMEA Branch allocation and/or rate card process in conjunction with the Global Finance team. Ensure controls are in place regarding pricing policy and the Statement of Work process Ensure controls are in place relating to local accounts payable, accounts receivable, purchase requisitions, etc. Ensure financial reporting compliance with local statutory reporting requirements and as well as US GAAP. Effectively lead, motivate, train , develop and evaluate staff Liaise with tax authority, auditors, regulators and ensuring compliance with regulatory requirements Assume additional responsibilities as needed Position Requirements SKILLS/EXPERIENCE REQUIRED: Bachelors Degree in Accounting, Finance or related field required. Qualified accountant (CPA or equivalent) preferred with experience in financial control and management preferably in an IT industry Exposure to US GAAP knowledge and SOX requirements preferred Knowledge of local & regional tax (VAT) laws and regulatory reporting requirements Must have strong strategic and reasoning abilities, excellent oral, written and interpersonal and presentation skills, and establish and maintain effective working relationships. Team player that also provides independent financial advise to business partners Possess leadership skills, sound business knowledge, mature, well organized, high standard of ethics, able to work independently under tight deadlines Excellent Microsoft skills (Excel, PowerPoint, etc.) About Us American International Group, Inc. (AIG), a world leader in insurance and financial services, is the leading international insurance organization with operations in more than 130 countries and jurisdictions. AIG companies serve commercial, institutional and individual customers through the most extensive worldwide property-casualty and life insurance networks of any insurer. In addition, AIG companies are leading providers of retirement services, financial services and asset management around the world. AIG's common stock is listed on the New York Stock Exchange, as well as the stock exchanges in Ireland and Tokyo. AIG is an Equal Opportunity Employer.




Job Title: Chief Financial Officer
Company: Kforce Professional Staffing, Inc.
Location: Monroeville, PA

Description:
Kforce is currently searching for a CFO for a Manufacturing organization East of Pittsburgh. The CFO will provide leadership in the evaluation and approval of strategic business plans, merger and acquisition opportunities, capital budgets and financial forecasts. They will ensure adequate internal controls are established, tested and maintained to safeguard the company's assets. They will be a member of the executive management team in establishing and executing business strategies and understand business processes in order to identify areas of opportunity.The skills, experience, and knowledge required to be considered for this position include: MBA required and CPA preferred 10-15 years of finance or accounting management experience Strategic fiscal planning, reporting, budgeting, and analysis Developing and managing business partnerships Strong business acumen with a focus on customer service Ability to work effectively at all levels within and outside the organization Demonstrated expertise as manager and a leader building effective teams Ability to translate complex financial issues into easily understood business decisions Building confidence and trust within and outside of the organization Persuasive individual who can implement strategy through a prioritization of objectives Contact Details Name: Kforce Professional Staffing, Inc.




Job Title: Chief Financial Officer Real Estate
Company: DMVBI
Location: Philadelphia, PA

Description:
SUMMARY Responsible for all financial and fiscal management aspects of company operations. Providing leadership and coordination in the administrative, business planning, accounting and budgeting efforts of the company. PRIMARY RESPONSIBILITIES Create, coordinate, and evaluate the financial programs and supporting information systems of the company to include budgeting, tax planning, real estate, and conservation of assets. Approve and coordinate changes and improvements in automated financial and management information systems for the company. Ensure compliance with local, state, and federal budgetary reporting requirements. Oversee the approval and processing of revenue, expenditure, and position control documents, department budgets, mass salary updates, ledger, and account maintenance and data entry. Coordinate the preparation of financial statements, financial reports, special analyses, and information reports. Develop and implement finance, accounting, billing, and auditing procedures. Establish and maintain appropriate internal control safeguards. Interact with other managers to provide consultative support to planning initiatives through financial and management information analyses, reports, and recommendations. Ensure records systems are maintained in accordance with generally accepted auditing standards. Develop and direct the implementation of strategic business and/or operational plans, projects, programs, and systems. Assist in obtaining the necessary licenses and insurance required to start a business. Analyze cash flow, cost controls, and expenses to guide business leaders. Analyze financial statements to pinpoint potential weak areas. Establish and implement short- and long-range departmental goals, objectives, policies, and operating procedures. Manage and direct financial, internal controls, reporting and tax planning Direct the accounting department in AP and AR and will evaluate and monitor accounting and staff procedures and modify for improvement as appropriate. Other duties as assigned. KNOWLEDGE AND SKILL REQUIREMENTS Experience in strategic planning and execution. Knowledge of contracting, negotiating, and change management. Knowledge of finance, accounting, budgeting, and cost control principles including Generally Accepted Accounting Principles. Knowledge of automated financial and accounting reporting systems. Knowledge of federal and state financial regulations. Ability to analyze financial data and prepare financial reports, statements, and projections. Work requires professional written and verbal communication and interpersonal skills. Ability to motivate teams to produce quality materials within tight timeframes and simultaneously manage several projects. Ability to participate in and facilitate group meetings. This is normally acquired through a combination of the completion of a Masters Degree in Finance or Accounting, ten years of experience in a senior-level finance or accounting position, and a CPA. Perform duties in a manner that maximizes profitability and protects the assets of the company Recruit, train, supervise, and evaluate department staff. Proven ability in the management of budgetary functions Proven ability to manage, supervise and motivate staff Requires willingness to work a flexible schedule as necessary to accomodate business need.




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