Develop, maintain, and own our annual financial forecast, including quarterly reforecasts. Track and analyze performance against the budget, providing key insights to the executive team.
Manage all treasury functions, including both fiat and non-fiat currencies. This includes cash flow management, liquidity, and oversight of our digital asset treasury.
Work closely with our external accounting vendor, ensuring accurate and timely financial reporting. Stand up an in-house accounting function as we scale.
Design and implement a scalable quote-to-collection process that can handle both traditional and digital asset transactions.
Conduct ad-hoc financial analyses to support executive decision-making. Develop and continuously improve our software pricing model.
Proactively identify and prioritize the most impactful financial initiatives in a high-growth, ambiguous environment.
Requirements
Proven expertise in financial forecasting and modeling, treasury management (including digital assets), and revenue operations.
5+ years of experience in a finance role, preferably at a high-growth technology company. Experience working with fiat and non-fiat currencies is a plus.
Experience with or can quickly learn tools like Stripe, Quickbooks, Mercury, Integral, and Fireblocks
Comfortable thriving in an environment with a significant amount of ambiguity and are adept at prioritizing critical tasks to drive the business forward.
Autonomous and proactive individual who is comfortable being an individual contributor with an eye towards building and managing a team in the future.