VP of Finance & Accounting Job at The HT Group, Boston, MA

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  • The HT Group
  • Boston, MA

Job Description

The HT Group is currently partnering with a Boston-based CPG (beverage) entity in the search for a qualified Vice President of Finance & Accounting for an immediate opportunity.

 
This individual will serve as a key member of the firm’s executive leadership team, responsible for the stewardship of financial operations, risk management, and long-term fiscal planning. This individual will drive performance through best-in-class financial oversight, ensuring the company is positioned for sustained growth and profitability within a highly dynamic, global supply chain environment. The firm is ideally looking for someone passionate about growing and developing teams, optimizing process, and being a part of a fun and hard-working culture.

 
Direct Hire – Hybrid (North Boston, MA) – Base up to $180K + 30% bonus/incredible benefits

 

Position Scope
 
  • Commercial & Strategic Finance: Own the end‑to‑end financials - build SKU‑level margin analytics, dynamic pricing models, and rolling, driver‑based forecasts that lift gross margin and delivers forecast accuracy.
  • Cash & Treasury Management: Run a 13‑week cash‑forecasting engine, optimize Foreign Exchange program, and orchestrate working‑capital scenarios that reduce idle cash and secure and incremental liquidity without covenant strain.
  • Stakeholder Communications: Craft board‑caliber dashboards and investor packs that convert complex data into decisive action; own the narrative at every audit, covenant review, and quarterly board meeting.
  • M&A Support: Support the evaluation, execution, and integration of acquisitions and strategic partnerships.
  • Team Leadership: Coach the finance and accounting team, set goals and KPIs, and deploy a modern finance tech stack raising team engagement and close‑cycle speed.
  • Financial Statement Oversight: Deliver flash P&Ls and GAAP‑compliant monthly, quarterly, and annual closes.
  • Covenant Compliance & Debt Management: Own the debt portfolio, monitor covenants in real time, prepare lender deliverables, and execute refinance strategies that cut blended cost of capital while extending maturities.
  • Supply Chain Finance: Lead landed‑cost modeling, vendor‑payment strategy, and inventory‑turn programs that optimize net working capital and boost OTIF (on‑time‑in‑full) performance across the import pipeline.
Position Requirements
  • Bachelor’s degree (B.S./B.A.) in Accounting, Finance or related field required; MBA is highly preferred.
  • CPA or CFA preferred
  • 8+ years of progressive FP&A experience in food & beverage, liquor/beer/wine/spirits, or scaling CPG, including multi-entity, international exposure.
  • Extensive experience in GAAP, covenant management, and working capital optimization.
  • Hands-on Foreign Exchange (FX) risk management experience.
  • Proficiency in ERPs and financial planning systems along with advanced MS Excel, Power BI and data visualization expertise.
  • Exceptional communication and leadership skills, with the ability to build systems and develop people.

Job Tags

Immediate start,

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