VP of Finance and M&A
Austin, TX or RemoteFull-TimeVp
Salary153,000 - 182,000 USD per year
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Job Details
- Experience
- 10+ years of relevant experience, including 5+ years of leadership experience
- Required Skills
- Artificial IntelligenceAccountingBudgetingNetSuite
Requirements
- 10+ years of relevant experience, including 5+ years of leadership experience
- Demonstrated success at designing, implementing and improving scalable processes, so that execution capabilities scale super-linearly to headcount
- AI fluent
- Strong modeling & analytical skills with an ability to prototype internal tools, and then harden them by integrating the right sources-of-truth to automate
- Take pride and pleasure in communicating precisely, quickly, and in a way tailored to your audience
- Pro-active project manager who can self-direct work for at least two weeks at a time, on multiple projects, without requiring significant direction from the CFO
- Deep commitment to the mission, paired with the self-awareness to manage your energy and emotions across what is a marathon, not a series of sprints
- Committed to staying for the long term
- CPA
- Confident with Quickbooks Online or Netsuite
- Part of teams who have acquired companies and teams in a way that drove expansion
Responsibilities
- Ownership of company’s financial operations including financial planning & analysis, budgeting, forecasting, accounting, AR, AP, cash management, payroll, stock, expenses, & tax compliance
- Run the week-to-week financial operations of the company (account, AR, AP, payroll, stock, employee expenses, etc)
- Manage annual financial budgeting and forecasting processes, ensuring the annual plan reflects company strategic objectives
- Diligence target companies’ financials, analyze transaction structures, close acquisitions, and integrate businesses with a focus on improving EBITDA
- Support the CFO and CEO in equity and debt fundraising, including preparation of investor materials and data rooms
- Ensure timely completion of monthly financial close & reporting
- Ensure compliance with GAAP and applicable regulatory requirements
- Create & maintain routine and ad hoc financial modeling. Run reporting & analyses to enable sound & timely decision making
- Conduct research-driven analysis (e.g., pricing, unit economics, competitive landscape) to inform product development and go-to-market strategy, and help rapidly test hypotheses
- Ensure compliance with federal and state tax requirements
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