About the role
- Operate as the senior-most finance voice in the company
- Take full responsibility for forecasting, reporting, and scenario planning
- Oversee core financial operations, including month-end close and taxes
- Lead cash flow forecasting, department budgeting, and vendor management
- Provide timely P&L reviews and board-ready reporting
- Partner with department heads on budgets and vendor decisions
- Prepare for and eventually lead M&A processes and audit readiness
- Manage external relationships with vendors and partners
- Balance strategic and hands-on work
Requirements
- 10+ years of progressive finance experience in high-growth environments
- Demonstrated ability to lead at both strategic and tactical levels
- Strong track record of owning monthly closes, reconciliations, forecasting, budgeting, and vendor/payables management
- Ability to build and scale financial operating models
- Ability to influence and collaborate with senior leadership
- Relentless focus on accuracy, transparency, and stewardship of company resources
- US-Based
- Competitive salary
- Stock options
- Generous health/dental/vision coverage
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard skills
forecastingreportingscenario planningmonth-end closetaxescash flow forecastingdepartment budgetingvendor managementP&L reviewsM&A processes
Soft skills
leadershipstrategic thinkingtactical executioncollaborationinfluenceaccuracytransparencystewardship