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VP of Corporate Strategy and Strategic Finance

VP of Corporate Strategy and Strategic Finance

Unimacts GlobalSouthfield, MI, US
10 days ago
Job type
  • Full-time
  • Quick Apply
Job description

Ignite Your Career at Unimacts : Powering Renewable Energy’s Future!

Unimacts is redefining contract manufacturing and supply chain management for renewable energy and industrial markets. With operations spanning the U.S., Mexico, EU and Asia, we are building the infrastructure that powers solar, wind, and next-generation industrial sectors.

As Unimacts accelerates its global expansion, we are seeking a Vice President of Corporate Strategy — a well-rounded finance executive with a strong background in treasury, capital markets, and corporate development. Reporting directly to the CEO, this role serves as a key architect of Unimacts’ long-term growth strategy, capital structure, and enterprise-wide financial planning.

Key Responsibilities

Corporate Strategy & Long-Range Planning

  • Lead the development and execution of the company’s multi-year strategic plan, integrating financial, operational, and market insights.
  • Translate industry trends, regulatory shifts, and technology developments into actionable business strategies.
  • Partner with the CEO and executive team to evaluate new markets, geographies, and product-line expansions.
  • Oversee annual and long-range planning processes linking investment priorities to growth objectives and capital allocation.

Corporate Development & M&A

  • Identify, evaluate, and execute mergers, acquisitions, joint ventures, and strategic partnerships that align with corporate objectives.
  • Lead valuation, financial modeling, due diligence, and integration planning.
  • Support global expansion initiatives, supply-chain diversification, and strategic investments in renewable-energy infrastructure.
  • Strategic Finance & Treasury Leadership

  • Capital Structure & Financing Strategy : Identify the right structure for meeting Unimacts’ capital requirements and devise appropriate debt or supply-chain financing structures to enable sufficient liquidity and growth.
  • Cash Management & Forecasting : Oversee cash pools and short-term investment portfolios, and develop accurate short- and long-term cash-flow forecasts.
  • Banking & Funding Relationships : Manage relationships with a broad group of commercial banks, financial institutions, and debt funds to ensure diversified access to capital.
  • Credit Facilities : Negotiate and maintain credit facilities (including revolvers) and ensure adequate liquidity backstops.
  • Credit Ratings : Engage with credit rating agencies as required and ensure all due-diligence processes for obtaining and maintaining ratings.
  • Technology & Systems : Implement and manage Treasury Management Systems (TMS) and leverage APIs for bank connectivity and automation.
  • Foreign Exchange Management : Identify and manage foreign-exchange exposures arising from global operations and supply chains.
  • Treasury Risk Policy : Establish and enforce a formal Treasury Risk Policy covering FX, interest-rate, counterparty, and liquidity risks.
  • Regulatory Compliance : Ensure compliance with U.S. financial regulations including SEC reporting for debt, SOX controls, and Dodd-Frank requirements for derivatives.
  • Business Performance & Decision Support

  • Build and maintain financial and strategic dashboards for the CEO and Board.
  • Partner with Finance, Operations, and Supply Chain to measure performance against strategic and financial KPIs.
  • Provide executive-level analysis on capital deployment, profitability, and return on investment for major projects.
  • Leadership & Cross-Functional Collaboration

  • Collaborate closely with Finance, Accounting, Legal, Tax, and Operations leaders to ensure alignment between strategy and execution.
  • Mentor and develop emerging finance and strategy talent.
  • Champion a culture of analytical rigor, financial discipline, and strategic innovation.
  • Requirements

  • Bachelor’s degree in Finance, Economics, Business, or related field; MBA, CFA, or CPA strongly preferred.
  • 12 + years of progressive experience across corporate strategy, corporate finance, and treasury.
  • Preferred background : Started career in a bank’s Debt Capital Markets or Leveraged Finance team and progressed into corporate treasury leadership within a high-growth, capital-intensive sector (e.g., Infrastructure, Energy, Utilities, Aerospace, or Industrial Manufacturing).
  • Demonstrated success leading enterprise-level strategic planning or corporate development initiatives.
  • Proven track record in capital structure design, debt negotiation, and liquidity management.
  • Strong knowledge of U.S. financial regulations, SOX controls, and global treasury best practices.
  • Exceptional communication and stakeholder management skills; experience presenting to Boards and executive committees.
  • Ability to operate strategically while remaining hands-on in a fast-paced, entrepreneurial environment.
  • What We Offer

  • Opportunity to shape the strategic and financial direction of a rapidly growing global manufacturing, renewables and supply chain enterprise.
  • High-impact exposure to corporate development, M&A, and capital markets initiatives.
  • Collaborative culture that values innovation, discipline, and execution excellence.
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    Vp Strategy • Southfield, MI, US

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