Accountants One is working on an exclusive search for a Director of Financial Reporting for a growing real estate client. This person will work closely with the key leadership in the company, and it's a very visible position. The Director of Financial Reporting will be involved with the SEC filings and key accounting reports that will help leadership make business decisions. This is an in-office role due to the nature of the work and deadlines.
The Director of Financial Reporting will handle the following:
Prepare and coordinate SEC filings (10-K, 10-Q, 8-K, Proxy) and investor reporting packages.
Compile and analyze monthly internal reports, budgets, and forecasts.
Partner with operations to provide variance analyses and leasing impact assessments.
Support audit coordination, technical accounting research, and implementation of new standards.
Collaborate with leadership to enhance reporting processes and leverage system capabilities.
Assist with corporate accounting activities, including monthly close and the accounting for and administration of the Company's annual and long-term incentive compensation plans.
Supervise a team
Special projects
Requirements
A bachelor's degree in accounting or finance is required.
A minimum of 4+ years of accounting experience required in the Big 4 or second Tier firm, or a blend of Big 4 and industry experience
CPA license required.
GAAP
Advanced knowledge of Microsoft Excel
Experience with ERP System
18273
$78k-109k yearly est. 4d ago
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Chief Financial Officer
Atlanta Housing Authority 4.1
Treasurer job in Atlanta, GA
Chief Financial Officer page is loaded## Chief Financial Officerlocations: Atlanta Home Officetime type: Full timeposted on: Posted 6 Days Agojob requisition id: R-002218**Position Title:** Chief Financial Officer**Department:**Finance**Reports to:**President and Chief Executive Officer**Salary grade:** V**Salary Range:**$211,100The Chief Financial Officer leads Atlanta Housing's financial strategy to support organizational growth, innovation, and long-term sustainability for the agency. This role will direct the company's financial planning and accounting practices, as well as its relationship with funding institutions, commissioners, and the community.**Role and Responsibilities:*** Oversees and directs the Finance department. Formulate and recommend policies, objectives, budgets, plans, procedures, and schedules for the department; develop, recommend, implement and monitor uniform programs; conduct quality control audits and evaluate work standards and performance levels ensuring uniformity, effectiveness, and appropriate staffing levels.* Oversees and directs treasury, company budgeting, audit, tax, accounting, and long-range forecasting activities for the organization.* Directs the staff in providing and directing procedures and computer application systems necessary to maintain proper records and to afford adequate accounting controls and services.* Directs the activities such as custodian of funds, assets of the organization, and investments of financial instruments.* Appraises the organization's financial position and issues periodic reports on the organization's financial stability, liquidity, and growth.* Directs and coordinates the establishment of budget programs.* Coordinates tax reporting programs and grantor relations activities.* Analyzes consolidates and directs all cost accounting procedures together with other statistical and routine reports.* Oversees and directs the preparation and issuance of the Company's Consolidated Annual Financial Report.* Directs and analyzes studies of general economic, business, and financial conditions and their impact on the organization's policies and operations.* Analyzes operational issues impacting functional groups and the whole institution, and determines their financial impact.* Evaluates and recommends business partnering opportunities as part of the Investment Committee.* Establishes and maintains contacts with financial institutions, investors, and investment advisors.* May be required to perform other related duties as required and/or assigned.**Education and Knowledge Requirements:**### * Requires a Bachelor's degree, a Master's degree is preferred.* Desired candidate should be a certified public accountant (CPA)* Current knowledge of public and/or non-profit grant-based financial operations is required.* Requires a minimum of ten or more years of relevant experience in the public or non-public sectors with a minimum of five years of management experience.* Knowledge of computer applications and current software is essential.### Experience directing the design, development, and implementation of financial, risk, and information management policies, programs, and procedures; responsible for coordinating, administering, and controlling financial operations. Analytical ability is required to plan, organize, and control financial functions. Strong judgment and reasoning abilities required. Must be extremely well organized to meet specific internal and external deadlines. Must be results-oriented. Requires extreme attention to detail and a thorough understanding of all current legal issues. Fosters a culture of accountability, innovation, and continuous improvement within the Finance team. Must demonstrate excellent verbal and written communication skills.**Working Conditions:**Works in an office environment. May require frequent bending, stooping, reaching and prolonged sitting and/or standing. Frequent local travel which necessitates a valid State of Georgia driver's license and be fully insurable for the purpose of obtaining clearance on company “Authorized Drivers List.”
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$211.1k yearly 4d ago
Atlanta CFO: In-Office Growth & M&A Leader
Northpoint Search Group 4.0
Treasurer job in Atlanta, GA
A well-established professional services firm is seeking a strategic, data-driven CFO to lead financial modeling and capital strategy as part of an executive team in Atlanta. This role requires proven CFO experience or a qualified leader ready to step up. The ideal candidate will manage M&A transactions, banking relationships, and lead financial planning in a fast-paced environment. This is an in-office role, and local candidates are preferred.
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$108k-195k yearly est. 3d ago
Director, Financial Sponsors Group
Citizens Bank 3.7
Treasurer job in Atlanta, GA
Citizens issearching for a Director in our Financial Sponsors Group with a desire to work in an entrepreneurial, growing organization. This person would be responsible for leading coverage of 25 to 30 U.S. middle market financial sponsors. You would work closely with partners in M&A and Corporate Finance industry coverage with a primary focus on originating and executing sellside and buyside M&A transactions for your financial sponsor client base. Depending on your clients and their portfolio activity, you may also work with Citizens' partners in Debt Capital Markets, Equity Capital Markets, Global Markets (interest rate derivatives and FX), Private Banking and Wealth, Structured Products, Treasury Management or other groups to holistically deliver the bank for your sponsor clients. This is an attractive opportunity for a senior banker looking for more autonomy, career advancement, and to be a key contributor within a rising, fast-paced group with competitive pay and benefits.
Primary responsibilities include
Relationship management throughout the entire firm for each of your sponsors, including senior partners and firm management, investment teams, business development (where applicable), capital markets (where applicable) and finance / accounting.
Maintain consistent engagement with key personnel at each sponsor in close coordination with internal coverage and product partners. Proactively cover relevant individuals, their portfolio companies and key investment focus areas to drive strategic dialogue and position Citizens to originate and execute M&A advisory, DCM / Debt placements and other opportunities.
Architect strategic ideas, research industry notes and trends to present to clients as well as internal risk management.
Collaborate on cross-sell efforts with Citizens' coverage and product bankers
Prepare and present offering materials to potential investors, negotiate critical structural elements with client and investors
Attend industry related conferences to support existing relationships and foster new relationships
Liaise with risk management to ensure that appropriate credit and market risks are identified and addressed
Maintain effective license to operate by sustaining a high level of trust and confidence by senior line and risk management
Qualifications
Demonstrated, long-term client relationships with Financial Sponsors
Minimum 10+ years' experience in Investment Banking and/or Capital Markets with a top ranked investment bank or commercial bank
Proven transaction experience across M&A advisory, debt capital markets and/or equity capital markets
Understanding of how to work with key coverage and product partners to proactively lead with value-added ideas to identify, win and executed on transaction opportunities.
Effective verbal and written communication and influencing skills
Highly organized with ability to multi-task
Strong credit acumen with superior market risk knowledge
Education, Certifications and/or Other Professional Credentials
4-year degree from an accredited university
Master's degree preferred, but not required
Series 79 & 63 licenses
Some job boards have started using jobseeker-reported data to estimate salary ranges for roles. If you apply and qualify for this role, a recruiter will discuss accurate pay guidance.
Equal Employment Opportunity
Citizens, its parent, subsidiaries, and related companies (Citizens) provide equal employment and advancement opportunities to all colleagues and applicants for employment without regard to age, ancestry, color, citizenship, physical or mental disability, perceived disability or history or record of a disability, ethnicity, gender, gender identity or expression, genetic information, genetic characteristic, marital or domestic partner status, victim of domestic violence, family status/parenthood, medical condition, military or veteran status, national origin, pregnancy/childbirth/lactation, colleague's or a dependent's reproductive health decision making, race, religion, sex, sexual orientation, or any other category protected by federal, state and/or local laws. At Citizens, we are committed to fostering an inclusive culture that enables all colleagues to bring their best selves to work every day and everyone is expected to be treated with respect and professionalism. Employment decisions are based solely on merit, qualifications, performance and capability.
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$107k-147k yearly est. 4d ago
Strategic CFO for Growth & M&A Transformation
Snapdragon Associates
Treasurer job in Atlanta, GA
A leading multi-location professional dealer is seeking a Chief Financial Officer (CFO) to spearhead financial strategies and drive operational excellence in their organization. This pivotal role requires a visionary leader experienced in budgeting, forecasting, and analysis while overseeing cross-functional teams such as Operations and IT. The CFO will significantly impact the company's future success through disciplined financial management and strategic initiatives during a period of substantial growth. Join this dynamic organization and contribute to meaningful transformation.
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$82k-160k yearly est. 5d ago
CFO
Staff Financial Group
Treasurer job in Atlanta, GA
CFO Strategic Financial Leadership
Partner with the executive team to develop and execute financial strategies (including cash and working capital management) that support organic and inorganic growth, profitability, and long-term value creation. Provide insight into revenue quality, commission/fee mix, producer compensation, and EBITDA performance across the portfolio.
Scaling & Infrastructure
Build and mature financial processes, systems, and internal controls to support a rapidly growing, data-driven organization. Lead the evolution of the finance function from foundational to scalable - including reporting, analytics, integrations of acquired business, and standardized policies across the organization.
M&A and Capital Strategy
Help shape and execute the non-organic growth strategy through M&A - including financial diligence, valuation and deal modeling, capital structuring, and post-close integration (systems, reporting, and compensation alignment). Lead banking and capital provider relationships and manage capital strategies (including debt and equity) to fund acquisitions while maintaining appropriate leverage and liquidity.
Financial Planning & Analysis (FP&A)
Own timely and accurate budgeting, forecasting, and long-term financial modeling to inform strategic decision-making. Implement scenario planning around growth, M&A, and capital structure to help the executive team make trade-off decisions on investments, acquisitions, and perpetuation initiatives.
Perpetuation & Ownership Program
Lead the perpetuation and ownership program, including valuation processes, capital modeling, and the design of clear, attractive pathways to ownership for employees. Ensure the program supports retention, succession planning, and long-term firm independence/value realization.
Reporting & Compliance
Oversee financial reporting, audit, and regulatory compliance to ensure accuracy, timeliness, and transparency. Maintain strong relationships with key partners, lenders, and other stakeholders; ensure that financial practices meet all relevant insurance, financial, and tax regulations.
Qualifications
Bachelor's degree in Accounting, Finance, or related field; CPA and/or MBA preferred.
10+ years of progressive finance leadership experience in a high-growth and/or M&A-intensive environment strongly preferred.
Proven track record scaling financial operations, teams, and systems to support organizational growth, including experience with debt financing and capital provider relationships.
Demonstrated experience leading or supporting M&A transactions (from diligence and valuation through integration).
Excellent communication, leadership, and stakeholder management skills, with the ability to influence at the executive and board levels.
Entrepreneurial, hands-on, and analytical mindset with the ability to balance strategic vision and deep operational execution.
Accountability Measures
Values Alignment: Demonstrates and reinforces values (Accountable, Authentic, Curious, Engaged) in decision-making and leadership style.
Execution of Strategic Priorities: Consistently sets, aligns, and delivers on annual goals and quarterly priorities; ensures executive team-driven programs are launched on time and achieve defined outcomes.
Growth & Profitability: Supports revenue and EBITDA growth targets through disciplined financial planning, pricing/commission insight, and expense management. EOS Leadership: Actively leads and models EOS disciplines (L10 meetings, scorecards, rocks, issues solving) and ensures the finance team are engaged and accountable within the EOS framework.
Reporting & Insight: Ensures accurate, timely financial reporting and forward-looking modeling; provides clear, actionable insights that inform strategic and operational decisions
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$82k-160k yearly est. 1d ago
Chief Financial Officer
Lepley Recruiting Services
Treasurer job in Atlanta, GA
Job Title: Chief Financial Officer - U.S. Operations
Reports To: Group CFO & Divisional Leadership
Employment Type: Full-time
We are seeking a strategic and hands‑on Chief Financial Officer (CFO) to lead the financial management of our U.S. subsidiaries and serve as a trusted business partner to divisional Managing Directors. This role is pivotal in driving growth, ensuring financial discipline, and delivering timely, accurate insights, with a strong focus on operational execution, profitability, and value creation. The CFO will act as the primary financial interface between U.S. operations and Group Finance in the UK, with responsibility for robust reporting, governance, internal controls, and commercial finance across all U.S. entities.
Key Responsibilities Strategic & Operational Leadership
Partner closely with divisional Managing Directors and senior leadership as a true business‑partner CFO to drive execution against target operating models and strategic priorities.
Work with management to translate operating and financial targets into actionable plans, ensuring alignment across finance, operations, and commercial teams.
Lead, develop, and unify finance teams across U.S. subsidiaries, fostering a performance‑driven culture focused on accountability, transparency, and value creation.
Drive continuous cost control and efficiency initiatives across U.S. operations, ensuring disciplined expense management while supporting growth objectives.
Identify, recommend, and lead strategic actions aimed at improving profitability, margin performance, and return on investment.
Support strategic initiatives, including potential M&A, integration efforts, and post‑acquisition optimization, in collaboration with Group Finance.
Back‑Office Integration & Synergies
Lead the identification and realization of back‑office synergies across U.S. businesses, including finance processes, systems, controls, shared services, and organizational structures.
Standardize financial processes and reporting where appropriate to improve efficiency, scalability, and consistency across the U.S. platform.
Collaborate with Group Finance and U.S. leadership to support integration initiatives that enhance operational effectiveness and cost efficiency.
Group Interface & Reporting
Serve as the principal liaison between U.S. subsidiaries and Group Finance.
Deliver timely, accurate monthly management reporting, forecasting, and variance analysis.
Ensure alignment of U.S. financial reporting with Group policies and IFRS‑based standards.
Financial Planning, Budgeting & Analysis
Lead the annual budgeting process in coordination with Group Finance.
Support divisional leadership in long‑term strategic planning.
Implement rigorous cost control frameworks and ensure adherence to budgets.
Collaborate on cost savings initiatives, including group‑level procurement.
Conduct financial analysis, scenario planning, and performance monitoring to guide decision‑making.
Identify risks and opportunities while providing actionable insights to U.S. and Group leadership.
Audit & Compliance
Oversee annual audits and coordinate with external auditors.
Ensure compliance with U.S. GAAP, IFRS (for group accounts), tax regulations, and local statutory requirements.
Financial Controls & Procedures
Maintain and enhance internal control and governance frameworks across U.S. operations.
Treasury & Banking
Manage treasury operations, credit lines, intercompany funding, and cashflow forecasting.
Maintain strong relationships with U.S. banks and financial institutions.
Ensure compliance with loan covenants and reporting obligations.
Insurance & Risk Management
Oversee all U.S. insurance programs, including renewals, claims, and coverage adequacy.
Implement and monitor risk mitigation strategies.
Qualifications
CPA or equivalent professional financial qualification preferred.
Minimum 10 years of senior financial leadership in U.S.‑based operations.
Strong expertise in U.S. GAAP and IFRS reporting standards.
Proven experience in FP&A, cost control, and budgeting.
Demonstrated success working with corporate finance and cross‑border operations.
Exceptional analytical, organizational, and communication skills.
High integrity, strong sense of ownership, and self‑motivation.
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$82k-160k yearly est. 1d ago
Chief Financial Officer
Modern Executive Solutions
Treasurer job in Atlanta, GA
Modern Executive Solutions is a fully integrated talent management consultancy with a specific focus on developing diverse, modern leadership teams. We provide services that include talent and organization strategy, culture and change management, leadership assessment and development and executive search. Everything we do is forward-looking and focused on creating modern organizations, leadership team and leaders. We are headquartered out of Atlanta, Georgia but work on a remote-first basis with employees across the United States and a team also in the United Kingdom. As a part of our embedded purpose to change lives for the better we donate 10% of our annual profits to charities that support youth and education in order to develop the diverse talent of tomorrow.
Location: Preference for U.S. Eastern or Central Time Zone
Travel: ~1x per quarter; proximity to a major airport or easy travel to Atlanta preferred
Opportunity Profile
The CFO is a key strategic partner to the CEO and will lead all finance-related functions of the firm. This executive will be accountable for planning, implementing, managing, and controlling all financial and risk management activities, including:
Financial strategy development and execution
Metrics aligned to strategic objectives
Control systems to preserve company assets
Accurate, timely financial reporting and forecasting
Interpreting financial data to guide business investments
The CFO will build and lead a world-class, global accounting and finance organization and provide leadership across finance, accounting, budgeting, business planning, and administration. In addition, this role will oversee the Legal function, including client contracts and vendor agreements.
Strategic Experience - Key Priorities
The ideal candidate will bring experience in:
Founder-led and PE-backed environments
Scaling organizations from $50M to $150M-$300M in revenue
Private Equity transactions
Bank and investor relationships
Geographic expansion, particularly in Europe and APAC
Key Responsibilities Organizational Leadership
The successful candidate will:
Serve as a strategic partner to the CEO, offering complementary expertise and constructive challenge
Develop subject-matter expertise across competitive, economic, financial, regulatory, and risk environments
Collaborate with the executive team to align capital, resources, and priorities with strategic objectives
Lead finance and legal strategies, processes, systems, tools, and initiatives aligned to short- and long-term plans
Partner with business unit and functional leaders on strategy development and execution
Build and develop high-performing teams, driving continuous improvement and succession planning
Functional Leadership Financial Planning & Analysis (FP&A)
Strategic planning, annual budgeting, and monthly forecasting
Rapid analysis of results to identify risks, opportunities, and action plans
Support hiring and funding decisions for senior leadership roles
Controllership
Accounting under US GAAP and/or IFRS
Accurate and timely consolidation and management/statutory reporting
Business insurance strategy and risk mitigation
Corporate Development
In partnership with the CEO and executive team:
Lead inorganic growth initiatives (M&A, divestitures, geographic and capital investments)
Manage investment banker relationships
Negotiate transaction price, terms, and conditions
Lead post-acquisition integration and post-completion analysis
Treasury
Optimize capital structure
Lead debt and equity financing/refinancing Manage interest rate strategy and hedging
Maximize free cash flow and cash management
Oversee foreign exchange hedging
Tax
Optimize international, federal, state, and local tax strategy
Ensure regulatory compliance
Oversee timely and accurate tax filings and reporting
Legal Oversight
Run the Deal Desk, including pricing strategy and contract approvals
Monitor deal performance to optimize profitability and close rates
Review and negotiate contracts, NDAs, and partnership agreements
Proactively mitigate legal and contractual risk
Required Experience
Proven strategic partner to a CEO with an ownership mindset for growth initiatives
Global or multi-regional executive leadership experience
Demonstrated track record of profitable organic and inorganic growth
Experience scaling through geographic and product/service expansion
Strong understanding of marketing, innovation, and professional services economics
History of cost optimization and continuous improvement
High integrity, sound judgment, and disciplined risk-taking
Experience managing compensation, short-term, and long-term incentive plans
People-focused leader who embodies culture and values
Performance-driven with a strong sense of urgency
Influential communicator across all stakeholder levels
Entrepreneurial, proactive, and solutions-oriented
Highly collaborative with strong emotional intelligence
Resilient and adaptable in dynamic environments
Culturally aware with a global mindset
Strong decision-making and execution capability
Advanced financial modeling, scenario analysis, planning, and forecasting skills
Experience with Lean, Six Sigma, or similar methodologies
High learning agility and practical business judgment
🎓 MBA and/or CPA preferred
About Modern Executive Solutions
Modern Executive Solutions is an executive search and integrated advisory firm committed to increasing diversity and inclusion within boardrooms and leadership teams globally. With a cross-industry lens and deep functional expertise, Modern identifies emerging and diverse talent others overlook. Every search is customized and underpinned by rigorous intelligence and assessment.
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$82k-160k yearly est. 2d ago
Fractional CFO - Atlanta, GA
The CFO Centre-Italy
Treasurer job in Atlanta, GA
Are you a top-quality, driven, entrepreneurial CFO looking to be part of a global business?
Joining The CFO Centre will allow you the opportunity to provide fractional CFO services to ambitious small to mid-size businesses. Whether you come from a corporate or SMB, are an independent or a parent returning to work - we have opportunities that will allow you to achieve work flexibility and work life balance.
The role is self-employed while operating within a defined model, combining the benefits of being part of a team, and supported by a well-established organization, but with a level of autonomy and freedom in how you deliver outcomes for clients. We will support you in building a long-term portfolio of clients on a part-time basis. You must be able to support yourself financially during the build-up phase.
Enjoy comprehensive onboarding, mentoring and a global network of colleagues to share best practices and client experiences.
The ideal candidate would have the following attributes:
A strong ‘people person' with a natural ability to build relationships
A ‘team player' who thrives on contributing to a high-performance team
A business builder with proven success in consultative selling
Energetic, motivated and able to make things happen
Organized and dependable
Fully engaged with our ‘purpose' of wanting to make a real difference to our clients
Entrepreneurial, non-corporate individual seeking the freedom to work semi-autonomously
Highly networked and love to meet new people, develop business and ensure client satisfaction
Desired Skills and Accreditations:
A breadth of sector and transactional experience
A minimum of 5 years hands-on CFO experience during your finance career - preferably commercial and strategic
CPA / CMA / MBA / finance related degree
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$82k-160k yearly est. 1d ago
Director, Sell-Side Financial Diligence
Ernst & Young Oman 4.7
Treasurer job in Atlanta, GA
A leading global consulting firm is seeking a Director for their Financial Diligence - Sell Side team in Atlanta. This role involves supporting transformation deals, managing client relationships, and ensuring the development of junior staff. Candidates must possess a bachelor's degree in Accounting or Finance, with significant public accounting experience and strong analytical skills. The position offers a competitive salary range and a flexible work environment, emphasizing collaboration and innovation.
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$118k-187k yearly est. 2d ago
Vice President Finance
Cade Partners 3.8
Treasurer job in Atlanta, GA
Our company is building the next generation of specialty spine, neck and brain care, making it radically easier for patients, employers, providers, and payors to access high-quality, efficient care. The practice is undergoing an exciting period of growth and innovation. We're looking for a hands-on VP of Finance to own our finance and revenue cycle functions end-to-end and help scale our organization through its next phase of growth.
As our VP of Finance, you'll serve as a strategic business partner to the portfolio company's CEO and leadership team driving financial performance, operational efficiency, and scalable systems that enable both clinical and business excellence. You'll lead a growing team and be responsible for corporate finance, FP&A, accounting, and revenue cycle management across the enterprise.
This is a builder role: you'll architect the financial infrastructure, roll up your sleeves to execute, and iterate quickly based on data and insights.
What you'll own
You'll be responsible for building a world-class finance function that supports the company's mission, growth, and operational discipline.
1. Corporate Finance (80%)
Strategic Planning & FP&A
Lead all financial planning, budgeting, forecasting, and strategic modeling to support growth and new initiatives.
Partner with the CEO and leadership team to translate strategic objectives into actionable financial plans.
Accounting & Controls
Oversee all accounting operations, including monthly and annual close, audit readiness, and financial compliance.
Ensure accuracy, timeliness, and transparency across reporting processes.
Performance Measurement
Design and maintain executive KPI dashboards and internal reporting infrastructure.
Deliver clear financial insights and recommendations that drive decision-making.
Cash Flow & Capital Management
Manage banking relationships, credit facilities, cash flow forecasting, and capital allocation.
Evaluate investment and financing opportunities to optimize the company's capital structure.
Business Partnering
Provide strategic financial guidance on new service lines, M&A opportunities, and technology investments.
Support operational teams with data-driven insights to improve margins, productivity, and ROI.
2. Revenue Cycle Management (20%)
RCM Leadership
Oversee end-to-end revenue cycle operations, including documentation, coding, charge capture, and payer contracting.
Implement performance dashboards to monitor key RCM metrics (AR days, denial rates, collection efficiency).
Payer Relations & Contracting
Strengthen payer relationships to optimize reimbursement and reduce denials.
Negotiate contracts that align incentives and improve cash conversion cycles.
Compliance & Optimization
Partner with clinical leaders to ensure compliant, efficient billing processes.
Leverage AI and automation tools to streamline workflows, reduce manual work, and increase throughput.
What we're looking for
Must-have experience
5+ years in a finance leadership role within a small or high-growth organization; healthcare experience strongly preferred.
Proven track record of leading FP&A, accounting, and revenue cycle functions with full ownership of financial results.
Deep understanding of GAAP accounting, healthcare billing, and RCM operations.
Strong analytical and technical orientation, comfortable using automation, data analytics, and AI-driven tools.
Exceptional communicator able to translate financial data into actionable strategy for executives, clinicians, and investors.
Demonstrated ability to build scalable financial systems and deliver measurable impact.
Proven people leader with experience managing and developing cross-functional finance teams.
Academic excellence GPA 3.7+ from a top-tier university or equivalent achievement.
How you work
Hands-on: You're comfortable digging into models, reconciling accounts, and refining reports, whatever it takes to get to truth and clarity.
Owner mentality: You think in terms of enterprise value and long-term impact, not just monthly results.
Analytical & curious: You love finding insights in numbers and building the systems that make them visible.
Collaborative: You communicate clearly across clinical, operational, and executive teams to keep everyone aligned.
Low ego, high EQ: You balance rigor with empathy, driving results while building trust.
What we're offering
Base Salary: $200,000 - $250,000 per year, depending on experience and fit.
Upside: Participation in the company's stock option program (meaningful equity aligned with value creation).
Comprehensive benefits: Medical, dental, and vision coverage.
Retirement plan: 401(k) or equivalent with employer contribution/match.
Paid time off: Competitive vacation, sick leave, and holidays.
Professional development: Support for courses, certifications, and leadership programs relevant to finance and healthcare.
High-impact environment: Direct visibility from your work to patient outcomes, operational performance, and enterprise value creation across Cade's healthcare portfolio.
$200k-250k yearly 3d ago
Director, CFO Services (OPEN TO ALL US LOCATIONS)
Alvarez & Marsal 4.8
Treasurer job in Atlanta, GA
PEPI - CFO Services - Director
A&M CFO Services work with private equity held portfolio companies and provide our clients with solutions to preserve and generate value for their businesses. Our goal is to improve transparency to key drivers and business performance, to support increasing cash and EBITDA, and to provide benefits through hands-on involvement in our clients' operations. Our job is to support PE firms to ensure their portfolio companies have credible plans and the ability to execute and deliver financial outcomes.
CFO Services Provides the following pillar of services:
Liquidity & Working Capital Optimization
Strategic Analytics & Planning
Performance Measurement & Management
Business Transformation
Auxiliary Services: Accounting Remediation
PROFESSIONAL EXPECTATIONS:
Hypothesis / Scope Development
Connect with client to facilitate information gathering
Guide and facilitate client interviews and ensure all relevant data are considered and pursued
Define type of analyses needed to prove or disprove assumptions, ensure complete, accurate and timely execution
Apply industry and functional knowledge identify business drivers and issues
Understand and develop framework given project parameters
Develop actionable conclusions from analyses
Project Management and Implementation
Ability to lead components of projects with multiple service lines and ability to lead smaller projects independently
Proactively manage client's expectations and minimize risks and negative impacts on project
Develop straightforward actionable plans and lead individual workstreams independently
Design cash generating initiatives, EBITDA improvements, optimal organizational structure to drive client's value
Anticipate risks and obstacles early on, create contingency plans and communicating timely with client
Engage and work collaboratively with senior management; ability to obtain buy-in from senior management / board members on actionable plans
Leadership
Leverage industry expertise, prior professional services experience to guide team and promote innovative and analytical thinking
Take accountability for both client and team identified issues
Build complimentary teams using individuals' talents and capabilities
Financial Acumen
Complete proficiency in financial modeling and financial statements analysis and accounting treatments
Identify and drive P&L and B/S accountability
Utilize tools and resources to drive change management
Interpreting financial statements and understanding how info gets captured and used, understand how to streamline the processes
Experience in the role of Controllership, Finance and Accounting Advisory Services
ACCREDITIDATION/EXPERIENCE:
Graduate of accredited 4-year college / university with educational concentration in relevant areas (accounting, finance, economics) preferred but not required
Over 12 years of experience related to: Accounting / Finance, Financial Due Diligence, Restructuring, Investment Banking or Private Equity
Complete proficiency in understanding financial models, data analytics, and presentation skills
CPA, CFA, MBA, or Master's Degree Preferred but not Required
#LI-LS1
The salary range is $150,000-$225,000 annually, dependent on several variables including but not limited to education, experience, skills, and geography. In addition, A&M offers a discretionary bonus program which is based on a number of factors, including individual and firm performance. Please ask your recruiter for details.
Regular employees working 30 or more hours per week are also entitled to participate in Alvarez & Marsal Holdings' fringe benefits consisting of healthcare plans, flexible spending and savings accounts, life, AD&D, and disability coverages at rates determined from time to time as well as a 401(k) retirement plan. Provided the eligibility requirements are met, employees will also receive a discretionary contribution to their 401(k) from Alvarez & Marsal. Additionally, employees are eligible for paid time off including vacation, personal days, seventy-two (72) hours of sick time (prorated for part time employees), ten federal holidays, one floating holiday, and parental leave. The amount of vacation and personal days available varies based on tenure and role type. Click here for more information regarding A&M's benefits programs.
Alvarez & Marsal recruits on an ongoing basis. Candidates are considered as they apply, until the opportunity is filled. Candidates are encouraged to apply expeditiously to any role(s) that they are qualified for and that are of interest to them.
Inclusive Diversity
A&M's entrepreneurial culture celebrates independent thinkers and doers who can positively impact our clients and shape our industry. The collaborative environment and engaging work-guided by A&M's core values of Integrity, Quality, Objectivity, Fun, Personal Reward, and Inclusive Diversity-are the main reasons our people love working at A&M. Inclusive Diversity means we embrace diversity, and we foster inclusiveness, encouraging everyone to bring their whole self to work each day. It runs through how we recruit, develop employees, conduct business, support clients, and partner with vendors. It is the A&M way.
Equal Opportunity Employer
It is Alvarez & Marsal's practice to provide and promote equal opportunity in employment, compensation, and other terms and conditions of employment without discrimination because of race, color, creed, religion, national origin, ancestry, citizenship status, sex or gender, gender identity or gender expression (including transgender status), sexual orientation, marital status, military service and veteran status, physical or mental disability, family medical history, genetic information or other protected medical condition, political affiliation, or any other characteristic protected by and in accordance with applicable laws. Employees and Applicants can find A&M policy statements and additional information by region here.
Unsolicited Resumes from Third-Party Recruiters
Please note that as per A&M policy, we do not accept unsolicited resumes from third-party recruiters unless such recruiters are engaged to provide candidates for a specified opening. Any employment agency, person or entity that submits an unsolicited resume does so with the understanding that A&M will have the right to hire that applicant at its discretion without any fee owed to the submitting employment agency, person or entity.
$150k-225k yearly 1d ago
Financial Controller
Pine Tree Recruiting
Treasurer job in Duluth, GA
Our Duluth Client is hiring a Controller. Well Established privately held company. Doing roughly $150MM yearly revenue.
Compensation: up to 150K
Standard Corporate Benefits (Health Insurance / PTO / 401k)
In office 5 days a week --- consistent 40-45 hour work weeks
Lead a small team
SENIOR ACCOUNTANTS WHO ARE READY TO MAKE THE STEP UP TO CONTROLLER ARE ENCOURAGED TO APPLY!
Lead month-end/year-end close and financial reporting
Manage general ledger, reconciliations, and cash operations
Ensure GAAP compliance and coordinate audits
Strengthen internal controls and streamline accounting processes
Support budgeting, forecasting, and management reporting
$67k-105k yearly est. 2d ago
Treasurer
Angott Search Group
Treasurer job in Atlanta, GA
Angott Search Group is pleased to partner with a specialty finance company in their search for a Treasurer. The selected candidate will provide leadership and direction of the Treasury department. Key responsibilities include balance sheet strategy development, asset/liability management, portfolio management, investor relations, capital planning, liquidity management, loan/deposit pricing, and other finance initiatives.
Required Skills & Competencies:
Significant experience issuing Asset-Backed Securities and managing Asset-Backed revolving credit facilities.
Significant budget and forecasting experience, valuation experience, and regulatory knowledge.
Solid understanding of Capital and Liquidity planning and A/L modeling concepts, and cash flow modeling techniques.
Attention to detail and information accuracy.
Proficient with all Microsoft products, including Excel, Word, and PowerPoint.
Detail-oriented with excellent analytical skills.
Ability to work well with professionals at all levels of the organization.
Adaptable to changing environments and time pressures.
Excellent written, oral, and interpersonal communication skills.
Education: Bachelor's degree in Finance or Accounting; MBA preferred
Experience: 15+ years of Financial Services industry experience preferred. Chartered Financial Analyst (CFA) or Certified Treasury Professional (CTP) designations are a plus.
$42k-83k yearly est. 60d+ ago
Health System Treasurer (Transitional)
Warbird Consulting 3.8
Treasurer job in Atlanta, GA
Warbird Healthcare Advisors is seeking experienced Interim and Transitional Treasury leaders to support healthcare organizations during periods of change, transformation, or heightened financial complexity. This role is designed for senior treasury professionals who can step in quickly, stabilize core treasury functions, and partner closely with executive leadership to ensure liquidity, financial resilience, and disciplined capital stewardship.
As a Warbird interim Treasurer, you will work directly with healthcare clients-often alongside the CFO and executive team-to manage cash and liquidity, oversee investments and debt structures, strengthen financial controls, and provide strategic insight during transitions such as leadership changes, restructurings, growth initiatives, or system integrations.
Cash & Liquidity Management
* Lead enterprise-wide cash forecasting, daily cash positioning, and liquidity planning.
* Optimize banking structures and cash management processes to support operations and capital needs.
* Ensure adequate liquidity during periods of volatility, transition, or organizational change.
Investment Oversight
* Oversee short-term and long-term investment portfolios in accordance with board-approved policies.
* Assess risk, liquidity, and performance; recommend adjustments aligned with organizational strategy.
* Partner with investment advisors and internal committees to ensure policy compliance and transparency.
Capital & Debt Management
* Manage existing debt portfolios, credit facilities, and covenant compliance.
* Support financing activities, refinancing efforts, and lender negotiations as needed.
* Provide analysis and recommendations related to capital structure and funding strategies.
Financial Reporting & Executive Support
* Prepare and present treasury-related reporting for executive leadership, boards, and committees.
* Provide clear, actionable analysis to inform strategic and operational decision-making.
* Support interim CFOs or permanent finance leadership during onboarding or transition periods.
Risk & Compliance
* Identify and mitigate treasury-related financial risks, including counterparty, liquidity, and market risks.
* Ensure compliance with regulatory requirements, internal controls, and treasury policies.
* Strengthen documentation, controls, and governance where gaps exist.
Stakeholder & Relationship Management
* Serve as a trusted point of contact with banks, investors, rating agencies, and external advisors.
* Represent the organization professionally and credibly during high-stakes discussions.
Qualifications & Experience
* Deep treasury and finance leadership experience within healthcare systems, academic medical centers, or related provider organizations.
* Demonstrated success managing cash, investments, debt, and banking relationships in complex environments.
* Strong working knowledge of healthcare finance, regulatory considerations, and treasury best practices.
* CPA, CFA, MBA, or similar credentials strongly preferred.
* Proven ability to quickly assess situations, build trust, and deliver results in interim or consultative roles.
* Executive presence with the ability to communicate clearly with CFOs, boards, and senior leadership.
Reporting & Engagement Structure
* Typically reports to the Chief Financial Officer or Interim CFO.
* Works closely with executive leadership, boards, and investment or finance committees.
* Engagements are project-based or transitional, tailored to each client's needs and duration.
$51k-91k yearly est. 31d ago
Director, Financial Sponsors - M&A & Capital Markets
Citizens Bank 3.7
Treasurer job in Atlanta, GA
A leading bank is seeking a Director for their Financial Sponsors Group in Atlanta, GA. The selected candidate will manage relationships with middle market financial sponsors, guiding M&A transactions and engaging with various internal teams. With a focus on strategic relationship management and market analysis, this role requires 10+ years of experience in investment banking and strong communication skills. The position offers opportunities for autonomy and advancement, along with competitive pay and benefits.
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$107k-147k yearly est. 4d ago
CFO - Georgia
Snapdragon Associates
Treasurer job in Atlanta, GA
About the Company
This organization is a financially solid and rapidly growing multi‑location professional dealer headquartered in Northern Atlanta. Known for its strong leadership and ambitious expansion plans, the company is well‑positioned for significant growth. They are pursuing a focused roadmap of strategic mergers and acquisitions, reinforcing their market position and opening new opportunities for ongoing development. With a robust culture of innovation and operational excellence, this company offers the chance to join a dynamic environment during an exciting phase of transformation.
The Role
The Chief Financial Officer (CFO) will be a key member of the executive team, spearheading financial strategy and driving operational excellence across the organization. This role combines high‑level financial responsibilities with broad oversight of cross‑functional departments such as Operations, Marketing, IT, and HR. The ideal candidate will lead all financial functions, including budgeting, forecasting, reporting, and analysis, while acting as a strategic partner on mergers and acquisitions. This position requires someone who thrives in a growth‑oriented environment and brings both vision and expertise in leading organizational change. The CFO will play a pivotal part in shaping the company's future success and delivering value through disciplined financial oversight and impactful operational improvements.
Benefits and Compensation
Competitive base salary with significant bonus potential
Opportunity to work in a stable, growth‑oriented organization with ambitious expansion plans
Collaborative team culture with opportunities for strategic impact
Professional challenge with the chance to lead meaningful transformation initiatives
Community
Thriving Suburban Lifestyle with Urban Access: Northern Atlanta offers a perfect blend of suburban charm and easy access to the bustling city. Areas like Alpharetta, Roswell, and Sandy Springs provide excellent schools, family‑friendly neighborhoods, and vibrant local communities, all while being just a short drive from downtown Atlanta.
Booming Job Market and Economic Opportunities: The region is home to numerous corporate headquarters, tech hubs, and thriving industries, making it a hotspot for career growth. With a strong economy and diverse job opportunities, Northern Atlanta is an attractive destination for professionals.
Abundant Recreation and Entertainment: From the scenic Chattahoochee River and sprawling parks to top‑notch shopping at Avalon and Perimeter Mall, Northern Atlanta has something for everyone. The area also boasts a rich cultural scene, with theaters, music venues, and a variety of dining options to explore.
Contact Mark Barnard at ************** or *****************************
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$82k-160k yearly est. 5d ago
Strategic CFO for U.S. Growth & Finance
Lepley Recruiting Services
Treasurer job in Atlanta, GA
A recruiting firm is seeking a Chief Financial Officer for U.S. Operations in Fort Worth, Texas. The CFO will lead financial management across U.S. subsidiaries, ensuring compliance with U.S. GAAP and IFRS standards. Responsibilities include driving financial discipline, overseeing audits, managing treasury operations, and providing strategic insights to improve profitability. Candidates should have a CPA or equivalent and at least 10 years of senior financial leadership experience. Strong analytical and communication skills are essential.
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$82k-160k yearly est. 1d ago
Chief Financial Officer - Non-Profit
Staff Financial Group
Treasurer job in Atlanta, GA
Chief Financial Officer (CFO)
Organization: Our client is a dynamic and rapidly growing Georgia-based Non-Profit organization is in search of a CFO to join their team.
In-office
Job Description
Our client is seeking a highly motivated and experienced Chief Financial Officer (CFO) to join our team. The CFO will play a pivotal role in our organization's financial leadership.
Responsibilities
Provide monthly financial statements, tracking, and analysis to ensure transparency and accountability.
Highlight the financial strategy of the organization, including performance, goals, and objectives.
Ensure the organization's compliance with audit requirements, grant and donor guidelines, and financial regulations.
Supervise a team of three, including a Controller and two accounting staff members.
Collaborate with external auditors and provide the necessary documentation for annual audits.
Manage the organization's financial operations, including budgeting, forecasting, and cash flow management.
Engage with state legislators, governors, and private donors to convey the impact and financial needs of the organization.
Present financial information effectively and tell compelling stories about the organization's mission.
Oversee compliance audits and ensure adherence to nonprofit accounting standards.
Work closely with the Chief Philanthropic Officer to secure funding and meet budgetary requirements.
Participate in external functions and events approximately once a month to represent the organization.
Requirements
CPA certification is preferred.
Previous experience in public accounting is preferred.
Strong background in nonprofit accounting, with experience working with municipalities and nonprofits.
Excellent knowledge of financial and accounting principles.
Ability to engage and communicate effectively with state legislators, governors, private donors, and external auditors.
Demonstrated ability to present financial information and tell compelling stories about the organization's impact.
Flexibility to work beyond regular hours, as needed, with an understanding that this is not a typical 9‑to‑5 role.
Familiarity with Sage accounting software or similar platforms.
Supervisory experience, preferably in a finance or accounting department.
A commitment to the mission and values of the organization.
Benefits
Competitive salary with a target of $135,000 per year.
Comprehensive medical, dental, and vision coverage.
403(b) retirement plan with employer contributions.
Life insurance and disability coverage.
Opportunities for professional development and growth.
A dynamic and collaborative work environment.
The chance to be part of a mission-driven organization that positively impacts the lives of students and communities.
the organization is an equal opportunity employer. We encourage candidates from all backgrounds and experiences to apply.
Click here to apply online
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$135k yearly 5d ago
Director, Sell-Side Financial Diligence (Deals)
Ernst & Young Advisory Services Sdn Bhd 4.7
Treasurer job in Atlanta, GA
A global professional services firm is seeking a Director to lead the Financial Diligence - Sell Side team in Atlanta. The ideal candidate will have extensive experience in handling divestitures and a strong background in accounting. You will support high-profile projects, integrate with client teams, and help develop junior staff. A competitive compensation package, including travel flexibility and professional growth opportunities, is offered in this role.
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The average treasurer in Atlanta, GA earns between $31,000 and $112,000 annually. This compares to the national average treasurer range of $37,000 to $173,000.
Average treasurer salary in Atlanta, GA
$59,000
What are the biggest employers of Treasurers in Atlanta, GA?
The biggest employers of Treasurers in Atlanta, GA are: