Remotely
fp&atreasurybudgetingcash handling
Job Description
📋 Description
- Own budgeting, forecast runway models, and provide financial analysis for planning and capital
- Develop business metrics, financial models, and performance reporting for leadership visibility.
- Manage cash forecasting, liquidity planning, and treasury activities.
- Oversee accounts payable/receivable and external providers; ensure timely, accurate financials.
- Coordinate monthly/annual reporting including board, investor, and management packages.
- Partner with leadership to build an efficient, high-growth finance function.
🎯 Requirements
- 5+ years in finance with FP&A, planning, and modeling experience.
- Experience in startups/growth-stage/venture-backed environments with ownership mindset.
- Strong budgeting, forecasting, cash management, liquidity, and performance analysis skills.
- Experience managing external accounting, tax, audit, and financial service providers.
- Independent, proactive, detail-oriented, with ability to operate in a lean organization.
- Excellent communication and strategic partnering with senior leaders and stakeholders.
🎁 Benefits
- Base salary USD 185,000–220,000.
- Flexible remote work environment.
- 25 days holiday plus bank holidays.
- Opportunity to work at the cutting edge of technology.
- Significant ownership and autonomy in a lean finance function.
- Opportunity to partner with leadership and influence decisions.