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Chief Financial Officer

S3 Group Ltd.

Swift Current

On-site

CAD 120,000 - 160,000

Full time

12 days ago

Job summary

A prominent equipment design company in Swift Current is seeking a CFO to oversee financial strategies and manage corporate financing. The ideal candidate will have strong analytical abilities and proven leadership in accounting. Responsibilities include budget management, risk strategy, and financial audits. This full-time role emphasizes teamwork and contribution to a respectful work environment.

Qualifications

  • Strong analytical skills with overall experience in accounting.
  • Experience in leading financial negotiations and agreements.
  • Ability to manage risk and internal controls effectively.

Responsibilities

  • Provides Finance and Accounting framework for multiple divisions.
  • Leads corporate financing initiatives and negotiations.
  • Manages annual budget process and financial trends analysis.
  • Oversees risk management strategy including insurance.
  • Coordinates training and internal auditing of financial processes.
Job description
Overview

S3 Group Ltd. is currently recruiting for a CFO to join our team at our Head Office in Swift Current, SK. This is a full-time position.

Since 1966, our company has been designing and building specialized equipment, products, and custom components for end-users and other manufacturers around the world. We know that being a great place to work means far more than getting paid. S3 fosters a respectful, teamwork environment where ideas are valued and everyone contributes with significance.

The ideal candidate should have strong analytical skills with well-rounded overall experience in accounting.

Key Responsibilities
  • Provides the Finance and Accounting framework for multiple operating divisions
  • Leads corporate financing initiatives, including financial institution negotiations and agreements
  • Leads due diligence efforts, specific to M&A activities
  • Provides timely and accurate analysis of budgets, financial trends, and forecasts
  • Works year round to ensure an unqualified audit at year end
  • Leads the annual budget process, including P&L, cash flow, and capex budgets
  • Oversees the organization's risk management strategy including insurance and FX hedging
  • Manages internal controls, process maps, and procedures for all financial systems in the organization
  • Coordinates training and internal auditing of administrative functions
  • Plays a key role in post-acquisition integration
  • Executes the business plan objectives by working proactively with the management team
  • Preference will be given to a candidate that could lead the HR and / or IT functions of the Company
  • Other responsibilities as assigned

Please apply with a cover letter & resume.

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