Director of Finance

Work set-up: 
Full Remote
Contract: 
Experience: 
Expert & Leadership (>10 years)
Work from: 

Offer summary

Qualifications:

Bachelor's degree in Business, Economics, Accounting, Finance, or related field., MBA, CFA, and/or CPA are strongly preferred., Over 10 years of experience in finance, treasury, or investment management roles., Strong analytical, modeling, and communication skills, with high professionalism..

Key responsibilities:

  • Manage treasury activities including cash management, investments, and banking relationships.
  • Develop and implement strategies for capital management and financial structuring.
  • Oversee risk management programs, insurance, and claims reporting.
  • Support financial analysis, modeling, and investor relations activities.

Chesapeake Utilities Corporation logo
Chesapeake Utilities Corporation Utilities (Electric, gas & water) SME https://www.chpk.com/
501 - 1000 Employees
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Job description

Director of Finance

Chesapeake Utilities Corporation

Location: Hybrid – Newark, DE or Yulee, FL 

What makes us great… 

At the heart of our Company is a dedication to delivering energy that drives progress.  We put people first, work to keep them safe and build trusting relationships.  

What you’ll be working on…  

Cash Management

  • Direct management of treasury activities including daily cash management, managing short-term investments and trade settlement procedures, banking relationships, debt compliance, manage working capital needs, and monitoring market activity.
  • Develops and implements cash management operational strategies.
  • Manages and mitigates financial risk as it relates to treasury operations.
  • Develop and manage financial models/projections to forecast the Company’s cash/liquidity position.
  • Identifies and implements best practices and efficiencies to improve the overall performance of the department and organization.

Capital Management

  • In tandem with the CFO and Assistant Treasurer, develop and implement the Company’s long-term and short-term financing strategy.
  • Provides Analysis and recommendations on optimal capital structure alternatives and roadmap to implementation.
  • Supports all aspects of the financial structure:
  • Debt: negotiating and executing financing transactions as needed, including bank facilities, debt financing, lenders, documentation review and covenants under the Assistant Treasurer and CFO’s direction.
  • Equity: maintaining and implementing new equity financing plans, including compensation, DRIP, Direct Stock Purchase, ATMs and other secondary offerings under the Assistant Treasurer and CFO’s oversight.
  • Assist with execution of all capital market transactions.
  • In tandem with Assistant Treasurer, pursues, obtains and monitors selected credit ratings.
  • Analyzes and recommends potential alternative financing structures and solutions, and explains/shows their impact on EPS, balance sheet, tax effects and financial ratios.
  • Oversees the process to ensure interest rate risk management.
  • Develops materials and other documents in preparation of annual dividend increase recommendations, as well as, policy changes for consideration by the Chief Financial Officer.

Risk Management

  • Serves as a key business partner to the Safety function and supporting councils/committees.
  • Manages the risk management program as it relates to insurance.
  • Oversees claims reporting, monitoring and metrics.
  • Analyze third party and Chesapeake data to provide recommendations to the Assistant Treasurer, on the renewal process, considering new insurance products, deductibles and strategies.

Retirement Plan Investment Management

  • Assist with analytical support in investment and liquidity management – asset allocation, manager selection, performance tracking, investment guidelines and compliance – for the Company’s pension and retirement savings plans.

Credit Management

  • Direct the credit evaluation of large customers/counterparties.
  • Act as a key advisor to the Risk Management Committee.
  • Support Business Units business plans with assessment of counterpart relations, credit standing, and trade documents.

Financial Analysis 

  • Oversee stock valuation analyses and peer metric analyses.
  • Oversee financial target development, monitoring and implementation, including ongoing analyses related to target ROEs.
  • Oversee modelling and analytics related to compensation design and metrics, including developing routine reporting.
  • Prepare materials and other content for investor relations communications.
  • Complete due diligence as part of M&A activity related to treasury functions, including finance modeling, due diligence and treasury integration.
  • Prepare materials and testimony necessary to support rate cases as well as routine Public Service Commission financing applications.
  • Work closely with the Assistant Treasurer on refining the vision and strategy for Treasury/Finance to meet the Company’s growth strategy and operational blueprint.
  • Work to implement best practices and strive towards more “best in class performance”.
  • Assist with FP&A and develop models that support the Company’s financing plans and strategies and also gain exposure to the modelling performed by the Corporate Development group.
  • Assist with preparation of materials presented to the Board of Directors and Audit Committee regarding Financial Planning, Insurance, Dividend Policy, and appropriate board resolutions.

Who you are...

  • BS/BA in Business, Economics, Accounting, Finance, or related quantitative field.
  • MBA, CFA and/or CPA strongly desired.
  • Extensive (10+ years) company experience in a variety of Finance/ Treasury/ Investment management positions. Including experience in debt and equity capital market transactions, credit facility negotiations and management as well as interactions with the rating agencies. 
  • Strong modelling and analytics capabilities.
  • Must possess a high level of initiative; excellent analytical, interpersonal and communication skills; the ability to interact with senior management levels and work in a fast-paced environment; strong math skills; problem analysis and problem resolution skills; and a high degree of professionalism.
  • Strong business acumen.
  • Broad knowledge and technical expertise in areas of finance and accounting.

      Where you’ll be working:

      • Hybrid-remote working environment, reporting to Newark, DE or Yulee, FL and travel to Company locations as needed.

      Benefits/what’s in it for you? 

      • Flexible work arrangement
      • Competitive base salary
      • Fantastic opportunities for career growth
      • Cooperative, supportive and empowered team atmosphere
      • Annual bonus and salary increase opportunities
      • Monthly recognition events
      • Endless wellness initiatives and community events
      • Robust and customizable benefit packages-choose what works best with your life. Options include generous 401k, medical, dental and life insurance, tuition reimbursement, compensated volunteer hours and MORE!
      • Paid time off, holidays and a separate bank of sick time!

       

      Chesapeake Utilities Corporation is an equal opportunity employer committed to creating a diverse workforce. We consider all qualified applicants without regard to race, religion, color, sex, national origin, age, sexual orientation, disability or veteran status, among other factors. Applicants with a disability that need assistance applying for a position may email careers@chpk.com.

       

       

      Required profile

      Experience

      Level of experience: Expert & Leadership (>10 years)
      Industry :
      Utilities (Electric, gas & water)
      Spoken language(s):
      English
      Check out the description to know which languages are mandatory.

      Other Skills

      • Communication
      • Business Acumen
      • Social Skills

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