Jobs · Finance

Vice President Finance

Ferrellgas · United States · 2 days ago
RemoteRemoteFinanceFull-time

Responsibilities

  • Champion enterprise-wide continuous improvement and transformation across Treasury, FP&A, Financial Shared Services and Tax, driving process optimization, automation, scalability, and best-in-class finance capabilities.
  • Drive enterprise financial planning, forecasting, budgeting, and long-range strategy, delivering actionable insights to executive leadership and the Board to support data-driven decision-making and shareholder value creation.
  • Strengthen financial operations through standardized processes, and performance metrics that enhance accuracy, efficiency, and transparency.
  • Serve as a strategic financial and tax partner to the President & CEO, and business unit leaders, aligning internal performance, and external reporting.
  • Build and develop a high-performing finance organization, fostering accountability, innovation, and a culture of continuous improvement.
  • Recommend capital strategy, liquidity management, and capital structure optimization, ensuring strong cash flow, balance sheet efficiency, disciplined capital allocation, and tax-efficient structures.
  • Develop and maintain relationships with investors, analysts, regulators, tax authorities, and key business partners, such as audit and legal advisors.
  • Partner with Investor Relations to communicate with analysts and investors to ensure a consistent message is delivered with respect to Ferrellgas’s operations, prospects, and tax strategy.
  • Support companywide strategic initiatives, including those with significant tax implications, M&A, or restructuring considerations.

Qualifications

  • A Bachelor’s degree in Business Administration, Finance, Economics, or a related field.
  • An MBA or advanced degree is preferred.
  • 12+ years of progressive finance experience, including leadership roles across Treasury, FP&A, Financial Shared Services, and/or Tax.
  • Experience working in a publicly traded company, preferably within a complex, multi-site environment.
  • Strong leadership and influencing skills, with the ability to work collaboratively across departments and with senior leadership.
  • Strong experience and understanding of capital markets, cash flow management, financial planning, tax, and transactional finance operations.
  • Extensive experience collaborating with investor relations to communicate financial performance, strategy, and key tax or accounting insights to stakeholders.
  • Led large-scale process improvements and implemented sustainable operational changes that enhanced efficiency and overall performance.
  • Strong analytical skills.
  • Excellent interpersonal skills and the ability to maintain strong professional relationships.
  • Excellent negotiation, communication, and presentation skills.
  • Able to manage multiple projects and priorities in a fast-paced environment.
  • Highly motivated, results oriented, and strong attention to detail.
  • Must be a U.S. citizen, national, permanent resident, or otherwise authorized to work in the United States.
  • Applicants must not require visa sponsorship now or in the future.

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