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About the role
Key responsibilities & impact- You develop and implement the financial strategy in alignment with company goals.
- You build a reliable financial planning and forecasting model (P&L, cash flow, balance sheet).
- You maintain transparent cost and budget controlling across all departments.
- You take ownership of the entire financial tool stack.
- You oversee communication with external partners such as tax advisors, auditors, banks, and investors.
Requirements
What you’ll need- 5+ years of experience in controlling & accounting or a comparable role in a fast-growing environment.
- Deep knowledge of financial planning, budgeting, reporting, and cash flow management.
- Extensive understanding of revenue metrics & SaaS KPIs.
- Strong analytical skills and accuracy.
- Entrepreneurial thinking, initiative, and proactive collaboration with the leadership team.
Benefits
Comp & perks- Flexible working hours in a hybrid model
- A dynamic startup environment with plenty of room for creativity and flat hierarchies
- A motivated, supportive team with big ambitions
- Personal development budget and regular development reviews
- Attractive additional benefits such as Hansefit, bike leasing, team events, workation, support for your work-life balance, and many other advantages!
ATS Keywords
✓ Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
financial strategyfinancial planningforecasting modelbudgetingreportingcash flow managementcost controllingP&Lbalance sheetrevenue metrics
Soft Skills
analytical skillsaccuracyentrepreneurial thinkinginitiativeproactive collaboration