Oversee accounting operations (GL, AP, AR, payroll, tax) Manage outsourced accounting relationship and audit readiness Build and maintain internal controls and accounting policies Enhance financial systems, focusing on AR and order-to-cash automation Oversee treasury management (cash forecasting, liquidity planning) Develop financial models for forecasting, budgeting, and strategic planning Own monthly/quarterly reporting, budget vs. actuals, and SaaS metrics analysis Collaborate cross-functionally to align financial insights with business goals Prepare board decks, investor updates, and internal memos Define finance function roadmap (teams, structure, process, tools) Develop scalable financial infrastructure, optimizing outsourcing and vendor relationships