- Senior
- Office in Pelham
The Chief Financial Officer is a strategic and forward-looking leader who shapes the financial vision and performance of a vertically integrated manufacturer and lifestyle brand celebrated for design, craftsmanship, and innovation. With a diverse portfolio spanning wholesale, hospitality, multi-family, senior living, retail, licensee, and e-commerce channels, the CFO drives financial excellence that fuels creativity, operational agility, and sustainable growth. If you’re a visionary finance leader who thrives at the intersection of creativity and performance, we’d love to connect.
Who We Are
Gabriella White is home to our family of brands - Gabby, Summer Classics, and Wendy Jane. We are growing in all areas of the business and are proud to be family-owned and operated since 1987. Together, we furnish life's best moments, from the every day to the exceptional. We are united by our vision as well as our collective spirit and our culture is shaped by our core values: Dedication – Enthusiasm – Synergy – Integrity – Goal-Oriented – Nimble, or simply put DESIGN.
As a premier innovator, manufacturer, and retailer of luxury furniture and accessories, our brands are loved by designers and design-minded consumers for creating timeless outdoor living and transitional, eclectic furniture and accessories for every part of the home. We’re always looking for talented people to join our team and grow together.
What We Offer
- Competitive health, dental, and vision plans
- Employer paid short- and long-term disability.
- 401(k) plan with company match after 12 months
- Employee Assistance Program and Chaplain Services to support mental and emotional well-being
- Paid sick leave, vacation, holidays, and parental time
- Generous employee product purchase discount
What You Do
- Serves as a key member of the Executive Management Team, shaping the company’s strategic direction and supporting tactical initiatives.
- Provides financial and operational insight to drive growth, profitability, and value creation.
- Evaluates financial performance, identify opportunities for improvement, and implement strategies that enhance results.
- Partners with executive leaders to align resources and investments with strategic goals.
- Continuously explores innovative financial and operational approaches that strengthen the company’s competitive position.
- Oversees all budgeting, forecasting, and financial planning processes, including annual budgets and rolling forecasts.
- Develops predictive financial models that enhance accuracy of profit, cash flow, and capital projections.
- Supports manufacturing and operations with actionable product costing and margin analysis.
- Directs multi-year strategic financial planning (1-, 3-, and 10-year outlooks) and manage capital investment planning processes.
- Leads the Accounting team to ensure timely, accurate, and compliant financial reporting.
- Oversees audits, borrowing base reporting, accounts receivable/payable, payroll, purchasing, inventory, and cash management.
- Maintains strong internal controls and ensure compliance with GAAP and regulatory requirements.
- Optimizes systems and processes to improve accuracy, efficiency, and visibility of financial data.
- Builds and maintain strong banking and financial institution relationships.
- Manages liquidity, capital structure, and financing activities to support operational and strategic objectives.
- Oversees cash flow management, investment strategies, and risk mitigation initiatives.
- Delivers timely and insightful financial reporting at the company, channel, and location level.
- Provides performance analysis and actionable insights to drive accountability and profitability.
- Benchmarks performance against industry standards and internal goals to support continuous improvement.
- Identifies and mitigate financial and operational risks across the enterprise.
- Oversees corporate insurance programs and ensure compliance with all legal and regulatory standards.
- Maintains effective relationships with external auditors and advisors, ensuring transparency and integrity in all financial matters.
- Monitors market conditions and identify strategic acquisition, divestiture, and investment opportunities.
- Leads financial due diligence and valuation analysis for potential transactions.
- Manages the company’s real estate portfolio and advise on capital allocation to optimize returns.
- Collaborates with external advisors to evaluate and implement tax-efficient structures and planning opportunities.Ensures the company’s tax strategy aligns with its financial and operational objectives.
- Leads, mentors, and develops a high-performing Accounting and Finance team.
- Fosters a culture of accountability, integrity, and continuous learning.
- Elevates financial literacy across the organization, especially among leaders with P&L responsibility.
- Implements meaningful metrics and performance indicators aligned with strategic objectives.
- Maintains an active presence within the financial, banking, and local business community to expand professional relationships and stay informed of market trends.
What You Bring
- Bachelor’s degree in Accounting, Finance, or Business Administration required; MBA or Master’s in related field preferred.
- CPA or CMA certification strongly preferred.
- Ten or more years of progressive financial leadership experience, including executive-level oversight.
- Proven experience in manufacturing, distribution, or vertically integrated operations with both B2B and B2C channels.
- Deep understanding of GAAP and financial reporting standards.
- Demonstrated success in strategic planning, capital management, and M&A activities.
- Advanced proficiency in financial systems and Microsoft tools (Excel, Power BI, Teams, etc.).
- Excellent leadership, communication, and organizational skills with the ability to influence across all levels of the organization.