Remotely
fp&aforecastingtreasurybudgetingcash handling
Job Description
📋 Description
- Own budgeting, forecasts, runway models; analyze finances to support planning
- Develop metrics, models, and performance reporting for leadership visibility
- Manage cash forecasting, liquidity planning, banking relationships
- Monitor capital needs; help maintain liquidity
- Coordinate monthly/annual reporting for board, investors, management
- Oversee close processes with external providers; ensure timely, accurate data
🎯 Requirements
- 5+ years in finance with FP&A, planning, modeling
- Experience in startups/growth/venture-backed environ; ownership
- Budgeting, forecasting, cash management, liquidity analysis
- Experience managing external accounting, tax, audit providers
- Independent operator in lean org with significant responsibility
🎁 Benefits
- Base salary $185,000–$220,000 USD
- Flexible remote work environment
- 25 days of annual holidays + bank holidays
- Opportunity to work at cutting edge of tech
- Significant ownership and autonomy in lean finance function
- Partner with leadership to guide strategic decisions