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Chief Financial Officer Jobs in Colorado

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Job Title: CFO/Controller
Company:
Location: Denver, CO

Description:
Immediate opportunity with a high growth dynamic Denver based company looking for a hands on CFO/Controller to manage and direct accounting and financing activities including capital fundraising. We are looking for a team player that will compliment current small aggressive team. Public Company accounting experience required. Experience in the Oil & Gas, Environmental, Water Industries a plus. Skills/Abilities Needed: Financing Structure and systems. Microsoft Office Suite, Quickbooks. MBA in Accounting or CPA preferred




Job Title: Chief Financial Officer - Chief Investment Officer
Company: Sage Hospitality
Location: Denver, CO

Description:
Sage Hospitality Resources is one of the leading hotel management and development companies in the United States. Recognized as an innovative leader in our industry, we specialize in the management and development of premium-branded and independent hotels, restaurants and water park resorts. We create value for hotel owners and investors through outstanding product development and superb asset management. This powerful combination fuels our vision of being recognized by our customers as the best in the business. At Sage, we recognize people as our most valuable asset. They help us realize our vision and deliver our successes. Our passion to be the best, combined with our creative, supportive environment, provide our more than 4,000 associates nationwide with unparalleled opportunity. With Sage, our associates find something more than simply a job they find the encouragement and resources for unlimited personal and professional growth. Sage Hospitality Resources is seeking a highly skilled and enterprising Chief Financial and Investment Officer to complement our corporate team and fuel our aggressive plan for growth and recognition. The CFO/CIO will report to the President and CEO. As a true business partner to the President/CEO this position will provide overall leadership for the investment function with responsibility for determining investment strategy and managing the investment function in support of management objectives. Determines real estate portfolio allocation and manages cash and securities including both debt and equities. Will work closely with the company's Board of Directors and leadership team as well as institutional clients and prospects. The successful candidate will provide oversight for the company's finance, tax, corporate and fund accounting, financial planning and analysis, and treasury functions. The ideal candidate will be a self-motivated, experienced professional who possesses a strong analytical capability, high-level thinking and excellent management and communications skills. Strong Real Estate and Financial market acumen required. Candidates should also have the organizational skills required to effectively lead all of the companies finance related issues, as well as a collaborative quality that will enable a close working relationship with members of the company's Board of Directors. Excellence in personnel management, time management and the ability to move with agility across multiple disciplines are crucial attributes for the company. Key Responsibilities: -Overall leadership and ownership of the investment function, including development of all investment strategy and processes. -Asset management -Research investment opportunities -Conduct due diligence on prospective investment partners -Representation of the company at meetings with institutional prospects and clients. -Strong acumen and focus on appropriate risk management in all deal flow Additional Responsibilities: -Oversee investment accounting and fund accounting; -Oversee year-end audits and tax compliance; -Oversee development of business planning and forecasting; -Oversee cash management; -Manage mission critical vendor relationships (Bankers, Auditors, Tax Preparers, Fund Administrators, -Custodians, Brokers, etc.); -Responsible for enabling-technology recommendations; -Collaborate on fund structuring. Optimize structure for tax and business considerations; -Oversee adherence and refinement of accounting policies and procedures; and, -Oversee Partner reporting; -Engage in special projects as needed. Requirements: -A core competency in effective personnel management and mentorship; -Set the pace of the department by establishing team and individual goals and objectives; -Must be able to manage to deadlines and manage against shifting priorities; -Assist in the recruiting and identification of new employees; -Provide team members with regular performance feedback; -Company-wide leadership presence. -4 Year Accounting degree required; -Minimum of 15+ years experience of progressive accounting experience required; -CPA and MBA; -Fund Accounting experience. -Private Equity, Alternative Investment experience is preferred; We are proud to be an EEO/AA employer M/F/D/V. We maintain a drug-free workplace and perform pre-employment substance abuse testing.




Job Title: CHIEF FINANCIAL OFFICER
Company:
Location: Denver, CO

Description:
We are a young, public company in the restaurant franchising business with operations in both the US and Canada, and we are seeking an experienced Chief Financial Officer (CFO) to lead our accounting and finance department. This is a unique opportunity to join a growing company with great potential for expansion both domestically and abroad. SCOPE The CFO will report directly to the company?s Chief Executive Officer and to the company?s Board of Directors, and will be responsible for overseeing all functions of the accounting department, including preparing financial statements, maintaining cash controls, managing accounts payable, overseeing purchasing, managing expense reports, managing payroll and personnel by working with the company?s professional employer organization, and all other financial aspects related to corporate operations. As a public company, we are also required to meet certain SEC and state regulations and requirements. The CFO must have thorough experience with such requirements and regulations and be able to ensure corporate compliance and to work effectively with the Company?s outside consultants, attorneys, advisors and accountants to ensure that the Company meets all of its filing and disclosure deadlines, maintains all appropriate records and controls, and adheres to all other federal and state requirements. RESPONSIBILITIES AND REQUIREMENTS The responsibilities and requirements will include, among other things: ? Preparation of complete financial statements, analysis, forecasts, budgets, and budget variance reports, and present the information and all other requested information to the CEO and/or board of directors ? Responsible for coordinating all day-to-day accounting functions, including: cash management, tax accounting, managing and overseeing credit, collections, accounts payable, budgets, financial audits, cost report preparation, and all other ordinary corporate accounting needs, including intercompany eliminations and foreign currency translations. ? Coordinate and work with outside auditors, attorneys (both in-house and out-house) and other advisors on financial and corporate matters ? Prepare/analyze and coordinate information for external corporate and tax audits ? Responsible for timely filing of all state and federal regulatory tax forms ? Maintain and perform investor relations, including coordinating efforts with outside IR consultants & maintain good and working relationships and rapport our bank?s reps ? Responsibility for overall cash flow management & reporting, including management of all employee expense reports and other corporate financial policies ? Assist with any additional placements of securities, warrant exercises, conducting all necessary due diligence with mergers and acquisitions and potential stock exchange changes on an as needed basis ? Oversee and/or design internal controls and requirements in order to comply with Sarbanes Oxley, prepare and file all SEC required reports, including 10K, 10Q and 8Ks, and generally manage and work with outside advisers in order to oversee all of the required SEC filings and ensure compliance with all such federal and state regulations ? Work with our professional employer organization for administrative, payroll and HR issues KNOWLEDGE ? Candidate must have a degree in finance and/or accounting with at least 10 years experience ? Must have a CPA or CMA, and an MBA in Finance is strongly preferred ? Must have intimate knowledge with federal and state regulations and requirements for public companies ? Must have knowledge of conducting mergers and acquisitions, equity and debt financing and preparation of prospectus and other materials necessary for annual shareholder meetings, etc. ? Candidate must possess demonstrated accounting skills, able to comply with all GAAP standards and have successful experience leading and managing others ? Must have strong computer skills including MS Excel, Word, Outlook and Powerpoint ? Must have an intimate knowledge of accounting programs such as Quickbooks, Peachtree or other similar program ? And must be thoroughly organized with excellent written and oral communication skills and capable of consistently meeting deadlines! We offer a competitive salary, bonus and stock options. We provide medical and dental coverage and paid vacation and holidays. Additional search terms: Financial Controller, Comptroller, CFO, VP Vice President of Finance, Accountant




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