Related skills
accounts receivable forecasting financial modeling financial reporting budgetingπ Description
- Own and support core finance ops across accounting, FP&A, treasury, reporting
- Manage monthly close, reconciliations, accruals, variance, analysis
- Monitor cash position; manage treasury and cash flow forecasting
- Lead budgeting, forecasting, and financial planning
- Build/maintain financial models for strategic initiatives
- Analyze results to identify trends, risks, opportunities
π― Requirements
- 5+ years in corporate finance or accounting
- Strong understanding of accounting principles and month-end close
- Experience with treasury, budgeting, forecasting, variance analysis, KPI reporting
- Strong financial modeling and analytical skills
- Advanced Excel/Google Sheets and reporting tools
- Excellent business acumen and clear communication of insights
π Benefits
- Fully remote work environment
- Global, collaborative team
- High-impact role with visibility
- Competitive compensation
- Flexible, outcome-focused culture
- Growth opportunities in scaling international company
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