- Manage the preparation of monthly financial statements, gross profit analysis, expense tracking, cash flow management, and other financial reports as needed.
- Lead the accounting and finance function of the company - including but not limited to payroll, relationships with outside banking and accounting partners, taxes - sales & use and income, and producing timely and accurate financial reporting & analysis that inform Management's business decisions and support the company's growth strategy
- Responsible for oversight of monthly accounting journal entries and other close procedures, full balance sheet and income statement review process, reconciliations and consolidation, and variance analyses
- Manage financial audit process as needed
- Review and provide input to departmental leadership regarding financial performance monthly
- Perform various ad-hoc financial analysis on projects as requested by the leadership team
- Oversee company accounting team with preparation of related tax returns and associated reports such as property, payroll, and sales/use taxes
- Establish and maintain strong working relationships with leadership team and department leads, identifying and developing solutions to a full range of business issues
Specifications
Startup experience between 5-10 years in:
- Financial modeling & projections
- Startups & portfolio valuations
- Capitalization Tables management
- Budget creation & management
- Early stage capital management
- Investors financial KPIs & metrics
- Capital calls management
- Great understanding of building scale in a growing company
- Highly energetic, like-minded with strong modeling and analytical skills to take a lead role in our venture building activities from inception to exit
- Advanced computer software skills, including Excel and financial reporting software
Didn’t find the job appropriate? Report this Job