Job Summary
We are seeking a strategic and experienced Chief Financial Officer (CFO) to lead our financial operations and drive the company's financial strategy. The CFO is responsible for the leadership, direction, planning and operations of the bank’s accounting and finance functions, while adhering to all generally accepted accounting principles and regulations to accurately reflect the financial position of the Bank and holding company.
Duties
- Develops, implements, and administers the Bank’s financial and accounting related policies, procedures, and systems to ensure accurate and timely reporting and sound financial management.
- Oversees the areas of accounts payable/receivable and general ledger accounting functions in accordance with the Bank’s financial policies and procedures. Reviews all general ledger balance sheet accounts to ensure accuracy monthly.
- Executes cash planning and management. Reviews and directs cash and fed funds activities daily.
- Prepares quarterly regulatory reports including, but not limited to the Call Report and FHLB Collateral Certification Report.
- Works in partnership with the bank’s third-party accounting partners to produce annual financial statements and tax returns for all related entities.
- Administers internal controls designed to mitigate risk throughout the bank.
- Supervises and coordinates the completion of internal and external audits related to finance and accounting.
- Assists with special projects requiring financial oversight and review, including acquisitions, new product offerings, core system changes related to accounting or other items as needed.
- Responsible for the development and maintenance of the bank’s operating budget and tracking to annual goals.
- Leads the supervision, development, and training of accounting staff.
- Ensures timely preparation of required monthly Board and Management Reports.
- Reconciles MPP (mortgages sold but serviced) accounts daily and monthly. Prepares related MPP reports; coordinate with the Loan Processing Department to reconcile differences.
- Reviews and validates reconcilements as prepared by accounting staff.
- Assists the Chief Risk Officer with investment management, public fund pledging and reporting.
- Prepares Ohio sales tax return and unclaimed funds returns.
- Administers GLs and rates on the core system, as necessary.
- Responsible for Bank Credit Card management and issuance.
- Assists with shareholder relations and management, including stock purchases, transfers, and communications.
- Ensures ALCO reporting is completed in partnership with various advisory partners as needed.
- Supports administration of wholesale funds providers and liquidity management services, including insured-cash sweep solutions.
Requirements
- Proven experience as a CFO or in a senior financial leadership role within a similar industry. 7 years of experience preferred.
- Strong understanding of financial concepts, including financial planning, revenue management, and cost control.
- Knowledge and experience working with FIS core banking systems, specifically Horizon XE a plus.
- Exceptional analytical skills with the ability to interpret complex financial data.
- Demonstrated leadership capabilities with experience managing teams effectively.
- Knowledge of revenue cycle management practices is highly desirable.
- Excellent communication skills to convey financial information clearly to stakeholders at all levels.
- A degree in Finance, Accounting, Business Administration, or a related field; a CPA is preferred.
Join our team as we strive for excellence in our financial operations while fostering growth and innovation within our organization.
Job Type: Full-time
Benefits:
- 401(k)
- 401(k) matching
- Dental insurance
- Employee assistance program
- Health insurance
- Health savings account
- Life insurance
- Paid time off
- Vision insurance
Schedule:
Ability to Commute:
- Osgood, OH 45351 (Required)
Work Location: In person