Remotely
financial reportingfp&afinancial modelingcash managementtreasurybudgetingexternal accountingliquidity
Job Description
📋 Description
- Own the annual budgeting process, maintain operating forecasts and runway models, and provide
- Develop business metrics, financial models, and performance reporting for leadership visibility
- Manage cash forecasting, liquidity planning, banking relations, and treasury controls.
- Monitor capital requirements and ensure liquidity for the organization.
- Coordinate monthly/annual financial reporting, including board, investor, and management packs.
- Oversee accounting close with external providers and ensure timely, accurate financial data.
🎯 Requirements
- 5+ years of relevant finance experience with strong FP&A, planning, and modeling.
- Startup/growth-stage or venture-backed experience with ownership and adaptability.
- Strong budgeting/forecasting, cash management, liquidity planning, and performance analysis.
- Experience managing external accounting, tax, audit, and financial service providers.
- Ability to operate independently in a lean organization with significant responsibility.
- Strong analytical and financial modeling capabilities; translate data into practical business
🎁 Benefits
- Highly competitive base salary of $185,000–$220,000 USD.
- Flexible and remote work environment.
- 25 days of annual holiday plus bank holidays.
- Opportunity to work at the cutting edge of technology.
- Significant ownership and autonomy within a lean, high-impact finance function.
- Opportunity to partner directly with leadership and influence strategic decisions.