VP, Corporate Finance & Strategy

Topgolf•Dallas, TX

About The Position

Topgolf is a sports entertainment company that has changed how millions of people experience golf — and a genuinely energizing place to build a career. Every year, guests pack our venues for something that is hard to find elsewhere: hitting balls at a target-lined outfield, watching their shot traced in real time on multiple screens, with great food and good company alongside. With 100+ venues across the globe and proprietary Toptracer technology embedded in our guest experience and licensed to broadcasters and courses worldwide, Topgolf sits at a distinctive intersection of entertainment, hospitality and technology—with meaningful opportunities to improve performance and grow.

Requirements

  • Deep experience in Corporate FP&A and Treasury, including debt and capital structure management.
  • Experience building or modernizing Treasury capabilities, processes and controls.
  • Strong command of three-statement modeling, forecasting, cash flow and long-range planning.
  • Experience in a private equity-backed or similarly high-accountability environment.

Responsibilities

  • Own the three-statement financial model, annual operating plan, forecasts and long-range plan.
  • Lead an efficient, driver-based budget and forecast process with clear assumptions, inputs, owners and deadlines.
  • Integrate commercial performance, corporate costs, capital requirements and cash flow into one enterprise outlook.
  • Provide leadership with clear visibility into performance, opportunities, risks and the actions required to improve outcomes.
  • Lead cross-functional efforts to improve Adjusted EBITDA, cash flow and returns.
  • Lead overhead and headcount planning and drive appropriate discipline around SG&A.
  • Build a scalable Treasury function with clear ownership, processes, controls and priorities.
  • Own cash forecasting, liquidity planning, revolver activity, debt and capital structure management, and covenant compliance.
  • Manage relationships with lenders, banks and other financial partners.
  • Improve working capital, cash management, banking and payment processes.
  • Lead refinancing and other financing activities.
  • Establish a clear framework for allocating capital and resources across growth, maintenance and capability investments.
  • Evaluate investments using financial returns, cash requirements, strategic fit, and a range of upside and downside scenarios.
  • Lead business cases for growth, transformation, cost optimization and potential transactions.
  • Track performance against approved investment cases and apply those learnings to future decisions.
  • Make trade-offs explicit across near-term performance, organizational needs and long-term growth.
  • Connect the company’s strategy to its financial plans, priorities and operating actions.
  • Lead the monthly and quarterly cadence with PE sponsors and lenders.
  • Own the complete narrative and development of materials for Board and investor discussions, integrating performance, outlook, liquidity, strategic priorities and key decisions.
  • Translate business performance and external trends into clear strategic implications and choices.
  • Lead high-priority, cross-functional initiatives that require enterprise-wide coordination.
  • Raise the bar on analytical rigor, decision support, and business partnership.
  • Leverage AI to increase productivity and improve the quality of insights.
  • Drive structure and discipline without over-engineering.
  • Develop talent and foster a culture of sound judgment, ownership and follow-through.
  • Build on the strong partnership between Finance and Accounting to keep forecasting, close and reporting aligned and efficient.

Benefits

  • Free Play & 1/2 price food!
  • Health, dental, vision, 401(k) team member match, free mental well-being platform
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