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Group Financial Controller (Remote Only)

Posted 2 months agoViewed

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💎 Seniority level: Manager, 7+ years

📍 Location: United States, United Kingdom, Netherlands

💸 Salary: 113400.0 - 146000.0 USD per year

🔍 Industry: SaaS

🏢 Company: Hospitable.com👥 51-100💰 $1,022,154 almost 2 years agoHospitalityVacation RentalSoftware

🗣️ Languages: English

⏳ Experience: 7+ years

🪄 Skills: LeadershipData AnalysisPeople ManagementFinancial ManagementAccountingAttention to detailOrganizational skillsComplianceExcellent communication skillsReportingBudgetingRisk ManagementTeam managementFinancial analysisFinanceBookkeepingSaaSBudget management

Requirements:
  • 7+ years of extensive experience in accounting or finance roles, with at least 2 years in a supervisory/leadership capacity.
  • Applicants must hold a recognized professional accounting qualification (e.g. ACCA, ACA, CIMA or a locally accredited CPA designation).
  • Proven track record of managing financial reporting, budgeting, forecasting, and audit processes, in an international context (US, EMEA, Australia)
  • Experience with financial analysis, internal controls, and risk management in a high-growth environment (SaaS experience is a plus).
  • Proficiency with NetSuite, AP, and FP&A tools.
Responsibilities:
  • Provide financial oversight and final product delivery to the CEO, Pierre
  • Build and manage the accounting and finance team, providing mentorship, guidance, and fostering a culture of continuous learning.
  • Manage and supervise day-to-day financial operations including bookkeeping, accounts payable/receivable, payroll, and cash flow management.
  • Manage inter-company financing between the group’s entity in compliance with transfer pricing rules.
  • Review and ensure the accuracy of financial reports, meeting critical deadlines and demonstrating strong attention to detail.
  • Manage and automate reconciliation processes in NetSuite.
  • Supervise weekly soft close, month-end and year-end close procedures.
  • Ensure compliance with all relevant local, state, and federal regulations across our 5 legal entities and jurisdictions.
  • Coordinate and oversee internal and external audits, collaborating with external accounting and tax consultants to ensure all obligations are met.
  • Develop and maintain a system of internal controls to safeguard company assets and ensure compliance with accounting standards and regulations.
  • Identify financial risks and implement mitigation strategies.
  • Manage and lead the annual budgeting and forecasting processes, including rolling forecasts.
  • Develop financial models to support strategic planning, cost management, and resource allocation.
  • Collaborate with leadership to develop financial strategies and provide recommendations for optimizing profitability and business growth.
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