Added
2 days ago
Type
Full time
Salary
Salary not provided

Related skills

reconciliations forecasting budgeting cash flow financial controls

πŸ“‹ Description

  • Own management reporting and financial performance across entities and products.
  • Lead budgeting, cash-flow planning, and scenario analysis.
  • Build robust financial controls, reconciliations, and approval workflows.
  • Oversee settlements, FX, and intercompany transactions.
  • Partner with Data, Dev, and Treasury to automate reporting and improve insights.
  • Scale Finance across markets, currencies, and payment methods.

🎯 Requirements

  • 8+ years in Finance; 3+ years managing a finance team.
  • Background in fintech/payments, acquiring, EMI, or high-volume transactional business.
  • Experience transforming manual processes to automated data pipelines and reporting.
  • Leadership of multiple legal entities, currencies, and intercompany ops.
  • Strong P&L, cash flow, balance sheet, and forecasting experience.
  • Ability to define metrics, unit economics, and profitability analysis by product/segment.

🎁 Benefits

  • Fully remote within an international organization.
  • Competitive salary based on experience and performance.
  • Direct reporting to founders and CEO with ownership of Finance.
  • Established Data Platform and automated reconciliations.
  • Dedicated Data team to support automation and reporting.
  • Growing Finance team and opportunities for career progression.
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