CFO Job at Oklahoma Staffing, Enid, OK

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  • Oklahoma Staffing
  • Enid, OK

Job Description

Chief Financial Officer (CFO)

We are looking for an experienced Chief Financial Officer (CFO) to lead financial operations and strategy for our client based in Enid, Oklahoma. This role requires a dynamic leader who can ensure compliance, optimize budgeting processes, and manage financial risks within a specialized industry. The ideal candidate will bring expertise in financial planning, regulatory reporting, and strategic decision-making to drive sustainable growth.

Responsibilities:

  • Oversee financial reporting processes to ensure accuracy and compliance with industry regulations and standards.
  • Develop and implement strategies to mitigate financial risks related to volatile fuel prices, chemical handling, and environmental factors.
  • Lead budgeting efforts across key areas such as fleet maintenance, fuel procurement, safety initiatives, and regulatory compliance.
  • Manage capital planning activities, including securing funding for specialized equipment, infrastructure upgrades, and safety technologies.
  • Negotiate and maintain insurance coverage for hazardous material transportation while efficiently managing claims.
  • Monitor and optimize cash flow to address seasonal demand fluctuations and fluctuating fuel costs.
  • Build and maintain strong relationships with vendors, suppliers, and logistics partners to ensure cost-effective procurement and service contracts.
  • Prepare detailed financial documentation for audits and regulatory agencies in compliance with hazardous material transport laws.
  • Implement financial systems integrated with fleet management tools to enhance tracking and reporting accuracy.
  • Align financial strategies with organizational goals, including safety initiatives, sustainability objectives, and market expansion.
  • Requirements:

    • Minimum of seven years of experience in financial leadership roles, within transportation or manufacturing industries.
    • Proficiency in creating and analyzing cash flow statements and managing budgeting and forecasting processes.
    • Strong knowledge of financial reporting standards, including US GAAP and annual financial reporting.
    • Familiarity with financial management systems such as SAP Global Trade Services and Workday Financial Management.
    • Proven ability to prepare monthly balance sheets and ensure compliance with regulatory requirements.
    • Expertise in risk management and strategic financial planning.
    • Experience in vendor negotiation and contract management.
    • Strong analytical skills and attention to detail, especially in regulatory reporting and compliance.

Job Tags

Contract work, Seasonal work,

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