Overview
We are seeking a strategic finance leader to drive growth, forecasting, and scalable systems.
This role is centered on strategy, financial modeling, and automation.
The ideal candidate will ensure accurate reporting, strong cash flow management, and actionable insights to guide the company's path forward.
Key Responsibilities
- Financial Modeling : Develop scalable financial systems and forecasting models to support growth.
- Forecasting : Lead annual budgeting and quarterly forecasting processes with minimal variance vs. actuals.
- Cash Flow Management : Own the monthly close process; deliver P&L, Balance Sheet, and Cash Flow by the 20th of each month.
- Cash Optimization : Implement cash optimization strategies each quarter (e.g., vendor terms, debt structuring, float strategies).
- Automation : Automate workflows for expenses, reimbursements, travel, and company card usage.
Requirements
Bachelor's degree in Accounting, Finance, or related field.3–5+ years of finance / accounting experience.Proven success in forecasting, budgeting, and cash flow management.Strong analytical skills and exceptional attention to detail.Ability to thrive in dynamic environments.Excellent communication and collaboration skills.Benefits
Remote-first work environmentFlexible schedulePaid time off & holidaysLearning budget and training opportunitiesDirect collaboration with senior leadershipAutonomy, growth opportunities, and personal development