CFO/Controller
Company:
GGI Foods, founded in 2017, is a comprehensive service provider of frozen foods in the United States. Originally starting with traditional frozen seafood, the company has now expanded to offer five major categories of products: fish, shrimp, meat, Chinese pre-made dishes, and Sichuan-style Japanese cuisine. The product SKU count exceeds 1,500, and the company has core supply chain resources in 26 countries across five continents.
The company's headquarters is located in Atlanta, with branch offices in Los Angeles and New York. It operates a total of 40,000 square feet of cold storage and an efficient distribution system, offering a complete supply chain service capability that covers product procurement, import customs clearance, warehousing, logistics and distribution, as well as market promotion and sales follow-up across the United States.
Linkedin: https://www.linkedin.com/company/galaxy-global-international/
Location:
Americold 4300 Pleasantdale Rd,Atlanta GA 30340
Job Overview:
The CFO will be responsible for cash flow management, financial planning, tax structuring, risk mitigation, and overall financial leadership to support the company’s global growth. The ideal candidate should have experience in the food distribution industry, import/export trade, and multi-location financial management.
Key Responsibilities:1. Financial Strategy & Leadership
- Develop and execute financial strategies to optimize global cash flow and profitability.
- Provide financial planning & analysis (FP&A) insights to support expansion and operational efficiency.
- Collaborate with the CEO & executive team to drive financial decision-making.
- Oversee financial risk management, cost control, and profit optimization.
2. Global Accounting & Financial Operations
- Standardize and oversee accounting practices across all locations (China & U.S. offices).
- Implement financial controls & reporting systems for accuracy and consistency.
- Lead the monthly, quarterly, and annual financial close & reporting process.
- Manage multi-location financial consolidation (intercompany transactions, FX adjustments, etc.).
3. Cash Flow & Treasury Management
- Monitor global cash flow, working capital, and financing needs across all locations.
- Optimize inventory financing, supply chain payments, and vendor negotiations.
- Work with banks to secure credit facilities, trade finance, and international payment solutions.
4. Tax Compliance & Financial Regulations
- Oversee corporate tax strategy and compliance in both China and the U.S.
- Ensure sales tax, corporate tax, and payroll tax filings are completed on time.
- Work with legal and tax advisors to optimize international tax structures and compliance.
5. Warehouse, Logistics & Distribution Cost Optimization
- Analyze warehouse and distribution costs in Los Angeles, Atlanta, New York, and China.
- Improve cost efficiency in procurement, freight, and last-mile delivery.
- Implement financial KPIs for warehouse productivity and supply chain expenses.
6. Technology & Financial Systems
- Implement and optimize ERP/accounting systems to unify financial reporting.
- Ensure proper integration of QuickBooks, inventory management, and sales data.
- Leverage automation & analytics tools for better financial insights.
7. Mergers, Acquisitions & Expansion Strategy
- Lead financial due diligence for potential acquisitions or new market expansions.
- Evaluate investment opportunities and strategic partnerships.
- Provide valuation models, ROI analysis, and growth projections.
Job Requirements:
Education & Certification:
- Bachelor’s or Master’s degree in Accounting, Finance, or related fields.
- CPA, CMA, CFA, or MBA preferred but not required.
Experience:
- 10+ years of finance & accounting experience, with at least 5+ years as a CFO, VP of Finance, or Controller.
- Prior experience in food distribution, import/export, logistics, or wholesale trade.
- Strong knowledge of U.S. and China tax regulations & compliance.
- Experience managing multi-location financial operations & international transactions.
Technical Skills:
- Proficiency in QuickBooks, NetSuite, SAP, or other ERP systems.
- Strong understanding of GAAP, IFRS, and international financial reporting.
- Advanced financial modeling, budgeting, and forecasting skills.
Soft Skills:
- Strategic thinker with hands-on execution ability.
- Excellent leadership, communication, and problem-solving skills.
- Ability to work in a fast-paced, high-growth environment.
Compensation & Benefits:
Competitive six-figure salary + bonus + performance incentives
Equity or profit-sharing options (for highly experienced candidates)
Healthcare, 401(k), relocation assistance (if applicable)
Opportunity to lead financial strategy for a fast-growing global company
Company:
GGI Foods, founded in 2017, is a comprehensive service provider of frozen foods in the United States. Originally starting with traditional frozen seafood, the company has now expanded to offer five major categories of products: fish, shrimp, meat, Chinese pre-made dishes, and Sichuan-style Japanese cuisine. The product SKU count exceeds 1,500, and the company has core supply chain resources in 26 countries across five continents.
The company's headquarters is located in Atlanta, with branch offices in Los Angeles and New York. It operates a total of 40,000 square feet of cold storage and an efficient distribution system, offering a complete supply chain service capability that covers product procurement, import customs clearance, warehousing, logistics and distribution, as well as market promotion and sales follow-up across the United States.
Linkedin: https://www.linkedin.com/company/galaxy-global-international/
Location:
Americold 4300 Pleasantdale Rd,Atlanta GA 30340
Job Overview:
The CFO will be responsible for cash flow management, financial planning, tax structuring, risk mitigation, and overall financial leadership to support the company’s global growth. The ideal candidate should have experience in the food distribution industry, import/export trade, and multi-location financial management.
Key Responsibilities:1. Financial Strategy & Leadership
- Develop and execute financial strategies to optimize global cash flow and profitability.
- Provide financial planning & analysis (FP&A) insights to support expansion and operational efficiency.
- Collaborate with the CEO & executive team to drive financial decision-making.
- Oversee financial risk management, cost control, and profit optimization.
2. Global Accounting & Financial Operations
- Standardize and oversee accounting practices across all locations (China & U.S. offices).
- Implement financial controls & reporting systems for accuracy and consistency.
- Lead the monthly, quarterly, and annual financial close & reporting process.
- Manage multi-location financial consolidation (intercompany transactions, FX adjustments, etc.).
3. Cash Flow & Treasury Management
- Monitor global cash flow, working capital, and financing needs across all locations.
- Optimize inventory financing, supply chain payments, and vendor negotiations.
- Work with banks to secure credit facilities, trade finance, and international payment solutions.
4. Tax Compliance & Financial Regulations
- Oversee corporate tax strategy and compliance in both China and the U.S.
- Ensure sales tax, corporate tax, and payroll tax filings are completed on time.
- Work with legal and tax advisors to optimize international tax structures and compliance.
5. Warehouse, Logistics & Distribution Cost Optimization
- Analyze warehouse and distribution costs in Los Angeles, Atlanta, New York, and China.
- Improve cost efficiency in procurement, freight, and last-mile delivery.
- Implement financial KPIs for warehouse productivity and supply chain expenses.
6. Technology & Financial Systems
- Implement and optimize ERP/accounting systems to unify financial reporting.
- Ensure proper integration of QuickBooks, inventory management, and sales data.
- Leverage automation & analytics tools for better financial insights.
7. Mergers, Acquisitions & Expansion Strategy
- Lead financial due diligence for potential acquisitions or new market expansions.
- Evaluate investment opportunities and strategic partnerships.
- Provide valuation models, ROI analysis, and growth projections.
Job Requirements:
✅ Education & Certification:
- Bachelor’s or Master’s degree in Accounting, Finance, or related fields.
- CPA, CMA, CFA, or MBA preferred but not required.
✅ Experience:
- 10+ years of finance & accounting experience, with at least 5+ years as a CFO, VP of Finance, or Controller.
- Prior experience in food distribution, import/export, logistics, or wholesale trade.
- Strong knowledge of U.S. and China tax regulations & compliance.
- Experience managing multi-location financial operations & international transactions.
✅ Technical Skills:
- Proficiency in QuickBooks, NetSuite, SAP, or other ERP systems.
- Strong understanding of GAAP, IFRS, and international financial reporting.
- Advanced financial modeling, budgeting, and forecasting skills.
✅ Soft Skills:
- Strategic thinker with hands-on execution ability.
- Excellent leadership, communication, and problem-solving skills.
- Ability to work in a fast-paced, high-growth environment.
Compensation & Benefits:
✔ Competitive six-figure salary + bonus + performance incentives
✔ Equity or profit-sharing options (for highly experienced candidates)
✔ Healthcare, 401(k), relocation assistance (if applicable)
✔ Opportunity to lead financial strategy for a fast-growing global company