New Opportunity: Chief Financial Officer

CHIEF FINANCIAL OFFICER
ABOUT THE COMPANY
Founded in 1929, Bennett is a trusted, family-led provider of water, plant health, and energy solutions for growers with locations in California’s Central Valley and Hawaii. Based in Selma, California, and now led by fourth-generation CEO Tyler Bennett, the company offers fully integrated services to maximize resource efficiency - delivering turnkey solutions that help customers maximize yields, improve water efficiency, and enhance crop health.
What began as a family-run business, Bennett grew alongside the farming communities it served, built on a commitment to practical solutions, dependable service, and long-term relationships. Over the decades, Bennett continued to evolve with the needs of the industry. As agriculture faced new challenges around efficiency, resource management, and crop performance, the company expanded its capabilities to support operations in more ways.
Through each stage of that growth, one principle remained constant: focus on solving real problems in the field and stand behind their work. In August of 2025,
Pike Street Capital
made an investment in Bennett to help facilitate continued growth and geographical expansion. More information is available at
www.bennett.llc.
ABOUT THE POSITION
The Chief Financial Officer position is accountable for the strategic, financial, administrative, and risk management operations of the company, including the development of a financial and operational strategy, metrics tied to that strategy, and the ongoing development and monitoring of control systems designed to preserve company assets, maximize profits, and report accurate financial results to the Board and stakeholders. The CFO candidate must be willing to take a side-by-side role with the CEO and executive team to motivate the people in the organization to achieve its mission and financial targets.
The CFO will report to the Chief Executive Officer and be a key member of the Company’s senior executive team. She or he will design, install, and manage the practices and systems necessary, including financial policy, reporting, compliance, risk management, controls, financial accounting, cost accounting, accounting systems, cash management, banking relationships, tax strategy, and Board interface.
The CFO will coordinate the development and filing of all bank and board-related reports and regulatory documents, if any, and initiate and maintain accounting and auditor relationships.
DUTIES & RESPONSIBILITIES
Executive & Strategic Leadership
- Serve as a strategic partner to the CEO and executive team, actively contributing to policy, direction, and long-term planning.
- Help define and execute the company’s growth strategy in alignment with operational, financial, and market objectives.
- Drive a high-performance culture through accountability, transparency, and collaboration.
- Lead by example, setting the tone and culture across the organization.
- Operate as a player/coach, comfortable building models, developing presentations, and engaging directly in critical business issues.
- Attract, develop, and retain top-tier financial and operational talent.
- Lead major business initiatives and projects (e.g., productivity improvement, pricing strategies) with measurable results.
- Shoulder broad business leadership responsibility, beyond traditional finance functions.
Financial Planning & Analysis (FP&A)
- Own the development and ongoing refinement of annual budgets, monthly forecasts, and long-term financial planning.
- Track and maintain key performance indicators (KPIs) to measure performance against strategic goals.
- Conduct hands-on analysis of financial performance, with actionable insights to achieve growth and EBITDA targets.
- Lead investment analysis and decision support, including customer pricing models and full business case development.
- Demonstrated expertise in labor cost management and margin improvement strategies.
- Bring experience across multiple ERP platforms; ERP selection and implementation experience is highly preferred.
Accounting & Financial Operations
- Oversee all accounting and finance functions, ensuring accuracy, integrity, and timeliness of financial information.
- Prepare and deliver comprehensive financial reporting packages, including monthly P&L, balance sheet, cash flow, and covenant compliance.
- Ensure all financial statements are prepared in accordance with GAAP and meet internal and external stakeholder requirements.
- Lead all month-end close activities, including general ledger, balance sheet reconciliations, and overhead allocation.
- Enhance and scale accounting processes, systems, and internal controls to support company growth.
- Coordinate the annual audit process, ensuring unqualified audit results.
- Lead the preparation and management of company-wide budgets, including revenue and capital expenditure planning.
Treasury & Working Capital Management
- Lead cash flow forecasting, management, and decision-making around weekly cash disbursements.
- Improve the full cash cycle- credit policy, collections, inventory, and payables management.
- Manage lender relationships and covenant compliance.
- Use forward-looking cash flow analysis to guide capital structure decisions and working capital strategy.
M&A & Private Equity Engagement
- Collaborate with the leadership team and private equity sponsors on M&A add-on strategies and roll-up execution.
- Experience or understanding of value creation planning, reporting, and board-level communication.
DESIRED QUALIFICATIONS
- A complete understanding of the role of a private company CFO as a fiduciary with responsibility for reporting, bank covenant compliance, and Board interface.
- Domain expertise in accounting policy, accounting systems, financial reporting, taxation, and bank compliance. Superior management, analytical, organizational, administrative, and presentation skills. The temperament and maturity to be a key confidant and collaborator with the CEO and the management peer group.
- Master's degree in accounting or business administration, or equivalent business experience, preferred.
- 10+ years of progressively responsible experience in an industry-relevant company in a financial capacity.
- Experience partnering with an executive team and have a high level of written and oral communication skills.
- Preference will be given to candidates with an MBA in Finance and the Certified Public Accountant or Certified Management Accountant designations.
Interested in Learning More?
180one has been retained by Bennett to manage this search. If interested in learning more about the opportunity, please contact
Lisa Heffernan
/ 971.256.3076/ lisa@180one.com.





