All UVA and McIntire courses are being taught online throughout the spring semester. More information can be found on McIntire's official COVID-19 page. Learn More

Chief Financial Officer

Ivy Asset Group
United States
Posted on: 
Company Information
Company Profile: 

Ivy Asset Group is an alternative credit manager that seeks to provide customized financing solutions across the credit spectrum to niche markets while solving for rigorous banking credit limitations. Ivy offers an attractive and diverse product offering through senior debt, mezzanine, and subordinated positions while seeking to preserve capital through its expertise in underwriting and structuring of asset-based financing.

Ivy deploys capital among three analogous strategies: consumer loan portfolios, auto finance, and corporate credit. The firm has a history of delivering consistent returns through changing business cycles by way of its flexible multi-strategy approach, therefore providing their investors with compelling risk adjusted returns for the last decade. Throughout its history, Ivy has become a trusted lender for operating businesses by providing tailored credit solutions outside of the traditional banking model. Internally, the firm has developed a stringent approach to underwriting and investing, utilizing its access to private and institutional capital.

Ivy seeks a new Chief Financial Officer to lead the accounting and financial teams as well as participate in the senior management team.  The senior management team will consist of two managing partners, a Chief Credit Officer and the CFO. This person will have Responsibilities as outlined below.  In addition, the candidate will have experiential characteristics as enumerated in the Requirements as well as ten years plus experience.  This position will be located at the Ivy headquarters office in Charleston, South Carolina. 

Position Information
Job Responsibilities: 
  • Manage team (8 people) of controller, accounting professionals and financial analysts
  • Drive the company’s financial planning and budgeting
  • Manage Treasury Reporting and daily activities
  • Perform risk management by analyzing the organization’s liabilities and investments
  • Decide on investment strategies by considering cash and liquidity risks
  • Control and evaluate the organization’s fundraising plans and capital structure
  • Ensure cash flow is appropriate for the organization’s operations
  • Oversee preparation of reliable, current, forecasting reports
  • Manage the company’s finance IT system (Great Plains)
  • Lead banking relationships and financial interaction with clients (borrowers)
  • Ensure timely and accurate preparation of monthly financial reporting
  • Coordinate investor reporting and monthly interest payments
  • Provide Advisory support to Managing Partners
  • Supervise annual audits
  • Coordinate corporate and partner tax structures and filings

Principled; articulate; patient; confident; team oriented; highly motivated


Competitive compensation package, including salary, bonus, medical, and 401k. 

Type of Position: 
Years of Experience Required: 
More than 10 years
Application Information
Contact Email Address: 
Application Instructions: 

If you are interested in applying or learning more about the position, please notify Kristin Basner at

Application Due Date: