© 2019 Kerauno, LLC.

All Rights Reserved

151 N. Delaware Street
Indianapolis, IN 46204


info@keraunouc.com


1-833-KERAUNO

CHIEF FINANCIAL OFFICER

DEPARTMENT: FINANCE

 

SUMMARY

The Chief Financial Officer (CFO) will have primary operating and strategic responsibility for planning, implementing, managing and controlling all finance and accounting-related activities of the company within a shared services model. This will include direct responsibility for accounting, finance, forecasting, business modeling, budget, strategic planning, investor reporting, partnership compliance, and private and institutional financing.

REQUIREMENTS

  • Bachelor Degree in Accounting or Finance

  • CPA Required

  • MBA preferred

  • Background in public accounting preferred

  • 7+ years of experience as a Controller, VP of Finance or CFO with a mid-to-large-size Software-as-a-Service company required

  • 5+ years of experience of experience in telecommunications or IT company highly desired

  • 15+ years total accounting or finance experience

  • M&A experience with mid-sized transactions required

  • Demonstrated experience with complex cap tables required

  • Demonstrated knowledge and understanding of GAAP

  • Background collaborating with technology and project management staff to replace accounting and related systems. Systems implementation experience strongly preferred.

STRATEGY, PLANNING & MANAGEMENT

  • Serve as Chief Financial Officer and strategic business partner to senior executive leadership team.

  • Assess and evaluate financial performance of organization with regard to long-term operational goals, budgets, cash flows, business models and forecasts.

  • Provide insight and recommendations to both short-term and long-term growth plan of organization.

  • Communicate, engage and interact with Board of Managers, CEO and the Executive Leadership Team.

  • Work with senior leadership to establish yearly financial objectives that align with the company’s plan for growth and expansion.

  • Work closely with auditors, tax accountants and other consultants as required

  • Participate in pivotal decisions as they relate to strategic initiatives and operational models.

  • Develop, implement and continuously improve policies, procedures and processes as deemed appropriate in collaboration with the senior leadership team.

 

FINANCIAL ANALYSIS, BUDGETING & FORECASTING

  • In collaboration with the leadership team, develop and maintain monthly operating budget, annual company operating budget and cash flow plan.

  • Lead and present monthly financial budgeting reports including monthly profit and loss by entity, forecast vs. budget and prior year  with variances by division and cash flow (including cash flow forecast) by entity.

  • Review and analyze monthly financial results and provide commentary and recommendations.

  • Identify, develop and execute financial analysis of business initiatives, product launches and/or new service offerings.

  • Lead financial planning and analysis department. Supervise creation of reports, software implementations and tools for budgeting, forecasting and modeling.

  • Participate in periodic conference calls with select prospective Customers, Lenders, Vendors and Executive Leadership Team.

 

ACCOUNTING, GENERAL LEDGER, ADMINISTRATION & OPERATIONS

  • Develop, implement and continuously improve accounting policies that guide the accounting and finance operations of the company.

  • Sponsor the development, implementation and continuous improvement of accounting processes, systems, and tools and leverage same to deliver to the required cadence of operational deliverables.  

  • Supervise the accounting department to ensure the proper functioning of all systems, databases and financial software. Provide regular maintenance and backup of all accounting systems and supervise company financial staff.

  • Review and ensure application of appropriate internal controls and financial procedures.

  • Ensure timeliness and accuracy of financial and management reporting data for investors and the Executive Leadership Team.

  • Oversee the preparation and communication of monthly, quarterly and annual financial statements and provide associated commentary as appropriate.

  • Oversee the preparation and timely filing of all local, state and federal tax returns for the company and its non-corporate principals.

  • Hire, assimilate, develop and lead all accounting, finance, and planning staff.

  • Serve as the primary point of contact for external auditors; Manage preparation and support of all external audits.

  • Serve as the primary point of contact for all accounting partners, including, but not limited to those needed for burstable bandwidth, interim or project-related accounting resources, and those engaged for incentives applications and reporting.

  • Coordinate and strategize methods used to attain team goals

FINANCIAL MANAGEMENT

  • Manage cash flow planning process and ensure funds availability.

  • Oversee cash, investments and asset management area.

  • Explore new investment opportunities and provide recommendations on potential returns and risks.

  • Maintain outstanding banking relationships and strategic alliances with vendors and business partners.

FINANCIAL RELATIONS & POLICIES

  • Remain current on audit best practices as well as state, federal and local laws regarding company operations.

FINANCE & ACCOUNTING TEAM MANAGEMENT & CASH MANAGEMENT

  • Oversee weekly cash management and accounts payable function, approve large payables, sign checks, authorize large wires and ACHs

  • Oversee accounts receivable and billing function and provide guidance related world-class execution of the collection process

 

BENEFITS

  • Flexible hours

  • Work from home options

  • PTO

  • Health insurance

  • Disability insurance

  • 401k

 

This is a full-time, permanent position based out of our downtown Indianapolis HQ.

 

United States residents only, please.

 

COMPANY DESCRIPTION

Kerauno is a global Communications Workflow as a Service (CWaaS) platform that powerfully connects people, process, software and systems. Through the infusion of key modes of communication including voice, SMS text, chat, email and social media, Kerauno amplifies existing business software to provide strategic insights and actionable analytics across all forms of communication which affect every industry and vertical. Headquartered in Indianapolis, Kerauno has created a global customer base that relies on its mobile-centric communications workflow platform to optimize business processes, enhance customer and employee engagements, and drive revenue to the bottom line.

 

  • Kerauno: 2016 UC Product of the Year by TMCnet

  • Kerauno: 2016 Best Cloud Solution at ITExpo

  • Kerauno: 2017 UC Product of the Year by TMCnet

 

If you are ready to join a fun and amazing team with an incredible culture, excellent benefits, unlimited growth potential and the opportunity to be highly impactful and truly make a difference, apply today by completing the form below.

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