VP, Corporate Finance & Strategy — Growth & Treasury

Topgolf Payroll Services

Dallas (TX)

On-site

USD 250,000 - 420,000

Full time

7 days ago
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Job summary

Topgolf seeks a seasoned leader to run Corporate FP&A and Treasury, owning the three-statement model, budgets and long-range planning. You will align the enterprise outlook with the Board and investors, shaping capital strategy and performance narratives.

Reporting to the CFO, this role partners with the VP of Commercial Finance to consolidate the enterprise outlook and drive disciplined cash management, liquidity planning and strategic investments for long-term growth.

Qualifications

  • Deep experience in Corporate FP&A and Treasury, including debt and capital structure management.
  • Experience building or modernizing Treasury capabilities, processes and controls.
  • Strong command of three‑statement modeling, forecasting, cash flow and long‑range planning.
  • Experience in a private equity-backed or similarly high-accountability environment.

Responsibilities

  • Own the three-statement financial model, annual operating plan, forecasts and long-range plan.
  • Lead an efficient, driver-based budget and forecast process with clear assumptions, inputs, owners and deadlines.
  • Integrate commercial performance, corporate costs, capital requirements and cash flow into one enterprise outlook.
  • Provide leadership with visibility into performance, opportunities, risks and actions to improve outcomes.
  • Lead cross-functional efforts to improve Adjusted EBITDA, cash flow and returns.
  • Lead overhead and headcount planning and drive discipline around SG&A.

Skills

Three-statement modeling
Budgeting & forecasting
Financial planning
Strategic thinking
Leadership

Job description

Topgolf seeks a seasoned leader to run Corporate FP&A and Treasury, owning the three-statement model, budgets and long-range planning. You will align the enterprise outlook with the Board and investors, shaping capital strategy and performance narratives.

Reporting to the CFO, this role partners with the VP of Commercial Finance to consolidate the enterprise outlook and drive disciplined cash management, liquidity planning and strategic investments for long-term growth.

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