Serta Simmons Bedding, LLC
Vice President, FP&A and Treasury
Serta Simmons Bedding, LLC, Doraville, Georgia, United States,
An organization is seeking a
Vice President, FP&A and Treasury.
In this role, you’ll have the unique opportunity to work closely with our CFO and CEO, directly influencing the direction and growth of our company. Join a dynamic, smaller organization where your impact is immediately felt, and enjoy a fast-paced environment where decisions are made and implemented quickly—something you won’t often find in larger companies!
What You’ll Do:
The SVP, FP&A and Treasury is a key part of the CFO’s leadership team, providing financial insights to drive profitable growth and margin improvement. This role will partner with the finance leads across SSB to provide financial support for key focus areas of the business, create the long-term financial strategy, manage the annual budget, and quarterly forecasts.
This role will lead a team to provide analysis for short-term and long-term decision making and will work across the Finance function to monitor results against budget and forecast and generate financial reports for both internal and external stakeholders, including the Senior Leadership Team and the Board of Directors.
This role is also responsible for the Treasury strategy and its execution to drive generation of free cash flow and optimize net working capital.
Financial Planning & Analysis:
Lead the FP&A team and partner with the operational finance leads to develop and execute financial forecasts, budgets, and long-term strategic plans for the company.
Oversee the annual budgeting process and quarterly forecasting processes, ensuring alignment with company objectives and accurate financial projections.
Prepare month end reporting packages, including commentary on results and lead discussions regarding corrective action items with key stakeholders.
Analyze financial performance and variances, providing insights and strategic recommendations to senior management.
Lead the FP&A team to prepare and present financial reports, dashboards, and KPIs to stakeholders, including the Board of Directors.
Develop financial models and scenario analyses to support strategic decision-making.
Treasury Management:
Collaborate with senior management to align treasury strategies with business goals and strategic plans, playing a critical role in weekly cash forecasting, debt management, cash flow reporting, and debt compliance.
Oversee cash flow management, ensuring adequate liquidity to meet operational and strategic needs while owning the weekly cash forecast to fund working capital needs, investment opportunities, and stress events.
Develop and implement cash flow forecasting models and robust monthly cash forecasting/3-statement model methodology as part of quarterly forecast processes.
Develop and manage relationships with banks, financial institutions, and investors, serving as a corporate liaison to lenders and banks.
Optimize the company’s capital structure and manage debt and equity financing activities, helping drive capital allocation decisions for the organization, including leading any refinancing/capital raise activities.
Monitor and manage debt covenants, ensuring compliance with financial agreements, and preparing monthly debt compliance reports while tracking investment capacity and other related credit agreement baskets.
Identify, assess, and manage financial risks, including interest rate, foreign exchange, and commodity price risks, implementing and managing hedging strategies to mitigate financial risks.
Administer and manage treasury processes, systems, bank connectivity and controls, recommending and leading automation and other process improvement efforts.
Implement best practices and innovative solutions to enhance treasury operations, working collaboratively with Accounts Payable.
Present updates to management and understand the cash and revenue impact of changes to new project economics and schedules.
Strategic Financial Leadership:
Collaborate with senior leadership to align financial strategies with business goals.
Lead and mentor the FP&A and Treasury teams, fostering a culture of high performance and professional growth.
Partner with the CFO and CEO to identify key business indicators that enable timely, accurate decision making.
Drive continuous improvement in financial processes, systems, and reporting tools.
What You’ll Need:
Bachelor’s degree in Finance, Accounting, Business Administration, or a related field; MBA or relevant advanced degree preferred.
Professional certifications such as CFA, CPA, or CTP are highly desirable.
Minimum of 10-15 years of experience in FP&A, Treasury, or a related financial management role, with at least 5+ years in a leadership capacity.
Strong knowledge of financial modeling, budgeting, forecasting, and financial reporting.
Proven experience in treasury management, including cash flow forecasting, debt management, and risk management.
Familiarity with credit agreements and related terms and conditions.
Excellent analytical, strategic thinking, and problem-solving skills.
Outstanding communication and presentation skills, with the ability to interact effectively with senior management and stakeholders.
Proven ability to influence business performance with analytical insights and strategic recommendations.
Demonstrated leadership abilities, with a track record of building and leading high-performing teams.
Hands-on ability to create detailed analysis from source data and deliver high quality financial modeling outputs.
#J-18808-Ljbffr
Vice President, FP&A and Treasury.
In this role, you’ll have the unique opportunity to work closely with our CFO and CEO, directly influencing the direction and growth of our company. Join a dynamic, smaller organization where your impact is immediately felt, and enjoy a fast-paced environment where decisions are made and implemented quickly—something you won’t often find in larger companies!
What You’ll Do:
The SVP, FP&A and Treasury is a key part of the CFO’s leadership team, providing financial insights to drive profitable growth and margin improvement. This role will partner with the finance leads across SSB to provide financial support for key focus areas of the business, create the long-term financial strategy, manage the annual budget, and quarterly forecasts.
This role will lead a team to provide analysis for short-term and long-term decision making and will work across the Finance function to monitor results against budget and forecast and generate financial reports for both internal and external stakeholders, including the Senior Leadership Team and the Board of Directors.
This role is also responsible for the Treasury strategy and its execution to drive generation of free cash flow and optimize net working capital.
Financial Planning & Analysis:
Lead the FP&A team and partner with the operational finance leads to develop and execute financial forecasts, budgets, and long-term strategic plans for the company.
Oversee the annual budgeting process and quarterly forecasting processes, ensuring alignment with company objectives and accurate financial projections.
Prepare month end reporting packages, including commentary on results and lead discussions regarding corrective action items with key stakeholders.
Analyze financial performance and variances, providing insights and strategic recommendations to senior management.
Lead the FP&A team to prepare and present financial reports, dashboards, and KPIs to stakeholders, including the Board of Directors.
Develop financial models and scenario analyses to support strategic decision-making.
Treasury Management:
Collaborate with senior management to align treasury strategies with business goals and strategic plans, playing a critical role in weekly cash forecasting, debt management, cash flow reporting, and debt compliance.
Oversee cash flow management, ensuring adequate liquidity to meet operational and strategic needs while owning the weekly cash forecast to fund working capital needs, investment opportunities, and stress events.
Develop and implement cash flow forecasting models and robust monthly cash forecasting/3-statement model methodology as part of quarterly forecast processes.
Develop and manage relationships with banks, financial institutions, and investors, serving as a corporate liaison to lenders and banks.
Optimize the company’s capital structure and manage debt and equity financing activities, helping drive capital allocation decisions for the organization, including leading any refinancing/capital raise activities.
Monitor and manage debt covenants, ensuring compliance with financial agreements, and preparing monthly debt compliance reports while tracking investment capacity and other related credit agreement baskets.
Identify, assess, and manage financial risks, including interest rate, foreign exchange, and commodity price risks, implementing and managing hedging strategies to mitigate financial risks.
Administer and manage treasury processes, systems, bank connectivity and controls, recommending and leading automation and other process improvement efforts.
Implement best practices and innovative solutions to enhance treasury operations, working collaboratively with Accounts Payable.
Present updates to management and understand the cash and revenue impact of changes to new project economics and schedules.
Strategic Financial Leadership:
Collaborate with senior leadership to align financial strategies with business goals.
Lead and mentor the FP&A and Treasury teams, fostering a culture of high performance and professional growth.
Partner with the CFO and CEO to identify key business indicators that enable timely, accurate decision making.
Drive continuous improvement in financial processes, systems, and reporting tools.
What You’ll Need:
Bachelor’s degree in Finance, Accounting, Business Administration, or a related field; MBA or relevant advanced degree preferred.
Professional certifications such as CFA, CPA, or CTP are highly desirable.
Minimum of 10-15 years of experience in FP&A, Treasury, or a related financial management role, with at least 5+ years in a leadership capacity.
Strong knowledge of financial modeling, budgeting, forecasting, and financial reporting.
Proven experience in treasury management, including cash flow forecasting, debt management, and risk management.
Familiarity with credit agreements and related terms and conditions.
Excellent analytical, strategic thinking, and problem-solving skills.
Outstanding communication and presentation skills, with the ability to interact effectively with senior management and stakeholders.
Proven ability to influence business performance with analytical insights and strategic recommendations.
Demonstrated leadership abilities, with a track record of building and leading high-performing teams.
Hands-on ability to create detailed analysis from source data and deliver high quality financial modeling outputs.
#J-18808-Ljbffr