Own the company’s end-to-end finance function—planning & analysis, accounting operations, cash management, reporting, and controls.
Lead month-end and year-end close; maintain general ledger; prepare and review journal entries, reconciliations, and variance analyses.
Own FP&A: operating plan, rolling forecasts, scenario modeling, and budget vs. actual performance management.
Establish accounting policies and internal controls to ensure GAAP compliance and audit readiness.
Coordinate tax and audit activities with external advisors; ensure compliance across relevant jurisdictions.
Provide financial insight to drive pricing, margins, and operating discipline; partner with go-to-market and delivery leaders on project profitability.
Oversee systems and tooling and improve data quality and automation.
Support contract review for key commercial deals aligning with revenue-recognition principles.
Prepare materials for board meetings and investor updates; communicate results, risks, and recommended actions.
Build and mentor a small finance team and/or manage outside partners as scale requires.
Requirements
Bachelor’s degree in Accounting, Finance, or related field; CPA or CMA preferred.
8+ years of progressive experience across accounting and FP&A, including ownership of monthly close and budget/forecast processes.
Thorough understanding of GAAP and internal controls; experience with audits and tax coordination.
Demonstrated strength in financial modeling, scenario analysis, and executive communication.
Meticulous attention to detail with superb organizational skills; ability to set cadence and meet tight deadlines.
Comfortable operating hands-on in a high-growth, fully remote environment; able to work independently and cross-functionally.
Proficiency with Excel/Google Sheets and modern finance systems (ERP/accounting, business intelligence, and expense/payables).
Nice to have: experience in technology-enabled services, project-based revenue, and revenue-recognition concepts.