Stanton House has been retained by a leading Private Equity backed retail and distribution business. Our client is internationally recognised for its high-quality products offering bespoke solutions for its clients. As the business continues to expand and evolve, they are seeking a dynamic and experienced Chief Financial Officer to join the executive team and drive financial strategy, growth, and operational excellence. As the Chief Financial Officer, you will oversee all financial operations, including financial planning, reporting, risk management, and investor reporting, ensuring the company's long-term financial health and profitability. You will also work closely with the CEO, Board and Private Equity house to align financial strategies with company goals and manage growth. Having previously received strong investment, the business in now working towards a successful exit process making this an exciting time to join. In order to succeed in the role; A proven CFO with prior experience in a mid-market, Private Equity-backed organisations Experience leading a successful sale/exit process. A deep expertise in the retail, consumer goods, manufacturing or a related sector. A commercially minded leader with a strong focus on driving business results. A proven track record in driving cost management and operational efficiencies across materials, procurement, manufacturing processes, and supply chain operations. Strong competency in product pricing strategies and margin optimisation. Expertise in working capital management to enhance liquidity and operational flexibility. Demonstrated ability to lead accurate financial planning, budgeting, and forecasting processes. Solid foundation in financial reporting, regulatory compliance, and governance. Effective business partner to the Board, investors, and Senior Leadership Team, fostering collaboration and strategic decision-making. Highly hands-on, leading by example and fully engaged in the operational aspects of the business. High collaborative approach with the ability to build relationships both internally and externally. Responsibilities shall include but not be limited to; Developing and implementing the financial strategy aligned with the company's long-term business objectives. Lead budgeting, forecasting, and financial planning processes to ensure financial sustainability and growth. Ensure accurate and timely preparation of financial statements, including income statements, balance sheets, and cash flow reports. Manage audits and ensure transparent financial reporting to internal & external stakeholders. Drive cost-efficiency initiatives across the organisation, focusing on optimising the supply chain, inventory management, and operational expenses. Monitor and manage key financial performance indicators, including gross margins, operating profit, and return on investment. Oversee pricing strategies, ensuring they are competitive and aligned with profit margin targets. Oversee cash flow management, ensuring liquidity and efficient working capital utilisation. Develop strategies for capital allocation, including managing debt, equity, and investment decisions to optimise financial stability. Identify financial risks, such as currency fluctuations, market volatility, and supply chain disruptions, and implement mitigation strategies. Serve as a key point of contact for investors providing clear and detailed financial reports and analysis. Communicate financial performance and strategy to the Board, ensuring transparency and alignment with business objectives. Oversee the integration of ESG principles into the company’s financial strategy, ensuring compliance with sustainability regulations and standards. If you meet the above-mentioned criteria, please apply below. Unfortunately, we shall not be able to respond to all unsuccessful applicants.