Deep knowledge of financial reporting and accounting policies
Experience in budgeting, forecasting, and cash flow management
Strong understanding of internal controls and regulatory compliance
Ability to analyze complex financial data for business strategy
Proven track record of implementing operational efficiencies
Exceptional leadership and collaboration skills
Experience in high-growth organizations preferred
Familiarity with IPO readiness is a plus
Responsibilities
Develop financial strategies supporting growth and excellence
Advise executives with financial analysis and strategic recommendations
Lead budgeting and financial performance reporting processes
Establish internal controls and financial policies
Ensure compliance with GAAP and financial reporting standards
Oversee cash flow and treasury functions
Support strategic initiatives such as pricing and operational investments
Manage relationships with auditors and financial institutions
Drive improvements in finance operations for efficiency
Recruit and mentor a high-performing finance team
Monitor industry trends for compliance and readiness
Develop systems for scalability in financial operations
Benefits
Opportunity to lead a key functional area in a growing company
Work with executive leadership on strategic initiatives
Engagement in IPO readiness and capital market opportunities
Chance to mentor and build a high-performing finance team
Involvement in shaping the organization’s financial future
Full Job Description
Job Description
Chief Financial Officer (CFO) Location: Scottsdale, AZ The CFO will oversee all aspects of the finance organization, including accounting, financial planning and analysis, budgeting, forecasting, compliance, reporting, treasury, risk management, and the development of scalable financial infrastructure. This role will also play a critical part in preparing the organization for future capital market opportunities. Key Responsibilities
Develop and execute financial strategies that support business growth, operational excellence, and long-term scalability.
Serve as a trusted advisor to executive leadership by providing financial analysis, strategic recommendations, and decision support.
Lead annual budgeting, forecasting, financial planning, and performance reporting processes.
Establish and maintain strong internal controls, financial policies, and enterprise risk management practices.
Ensure compliance with GAAP, applicable regulatory requirements, and financial reporting standards.
Oversee cash flow management, treasury functions, capital planning, and financial modeling initiatives.
Support strategic business initiatives, including pricing strategy, operational investments, vendor negotiations, and expansion efforts.
Manage relationships with external auditors, tax advisors, banking partners, and other financial institutions.
Drive continuous improvement across finance and accounting operations to increase efficiency, visibility, and scalability.
Recruit, develop, and mentor a high-performing finance and accounting team.
Monitor industry trends, accounting standards, and regulatory developments to ensure organizational readiness and compliance.
Partner with executive leadership to develop and execute IPO readiness initiatives, including financial reporting, governance, internal controls, and regulatory compliance.
Build scalable financial systems, processes, and reporting capabilities to support continued organizational growth.
Qualifications
Strong knowledge of financial reporting, accounting principles, corporate finance, and business operations.
Demonstrated experience leading budgeting, forecasting, financial planning, cash flow management, and treasury functions within a growing organization.
Deep understanding of internal controls, compliance, financial risk management, and regulatory requirements.
Ability to analyze complex financial information and translate data into strategic business recommendations.
Experience identifying operational efficiencies and implementing process improvements.
Exceptional leadership, communication, and cross-functional collaboration skills.
Strong analytical, problem-solving, and decision-making capabilities.
Experience supporting high-growth, rapidly evolving organizations is highly preferred.
Experience leading or supporting IPO readiness or public company preparation is strongly preferred.
Education & Experience
Bachelor's degree in Accounting, Finance, Business Administration, or a related field required.
Minimum of 10 years of progressive finance and accounting leadership experience.
CPA, CMA, or other relevant professional certification is preferred.
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About Prosum Inc
Prosum Inc. is an information technology services company that provides a wide range of services to clients in the healthcare, financial services, and technology sectors. The company was founded in 2002 and is headquartered in Irvine, California. Prosum has a team of over 200 professionals who specialize in software development, cloud computing, and cybersecurity. The company has completed projects for clients such as Kaiser Permanente, Wells Fargo, and Microsoft. Prosum is committed to providing innovative solutions that help clients achieve their business goals.