Controller
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Requirements
• Budgeting & Forecasting Support • Support annual budgeting and quarterly forecasting processes • Partner with leadership to monitor financial performance against targets • Provide variance analysis and structured financial insights • Cash Flow & Liquidity Management • Monitor cash flow, liquidity planning, and working capital • Support investment and funding planning initiatives • Systems & Process Improvement • Own and improve financial systems and reporting tools • Ensure clean, scalable finance processes as the company grows • Identify and implement process efficiencies • Cross-Functional Collaboration • Work closely with Revenue Operations, HR, and Operations to ensure alignment across financial processes • Support board reporting and investor updates with accurate financial data • Proven experience as a Controller, Senior Accountant, or Finance Manager in a SaaS or high-growth environment • Strong knowledge of accounting standards and financial compliance • Experience managing month-end close and financial reporting processes • Structured, detail-oriented, and highly reliable • Comfortable working independently in a scaling organization • Strong analytical skills and ability to translate numbers into business insights • Excellent communication skills in English • Experience in venture-backed or international SaaS companies • Familiarity with subscription revenue accounting (ARR, deferred revenue, usage-based models) • Experience implementing financial systems or ERP tools
Responsibilities
• FINANCIAL ACCOUNTING & REPORTING • Own and oversee the monthly, quarterly, and annual financial closing processes • Ensure accurate preparation of financial statements in compliance with applicable accounting standards • Maintain general ledger integrity and financial documentation • Coordinate with external tax advisors and auditors • FINANCIAL CONTROLS & COMPLIANCE • Implement and maintain internal controls and accounting policies • Ensure compliance with local regulations, tax laws, and financial reporting standards • Manage statutory reporting requirements • BUDGETING & FORECASTING SUPPORT • Support annual budgeting and quarterly forecasting processes • Partner with leadership to monitor financial performance against targets • Provide variance analysis and structured financial insights • CASH FLOW & LIQUIDITY MANAGEMENT • Monitor cash flow, liquidity planning, and working capital • Support investment and funding planning initiatives • SYSTEMS & PROCESS IMPROVEMENT • Own and improve financial systems and reporting tools • Ensure clean, scalable finance processes as the company grows • Identify and implement process efficiencies • CROSS-FUNCTIONAL COLLABORATION • Work closely with Revenue Operations, HR, and Operations to ensure alignment across financial processes • Support board reporting and investor updates with accurate financial data
Benefits
• High-impact role with direct visibility to executive leadership • Opportunity to build scalable financial foundations in a fast-growing company • Equity participation • Collaborative and transparent culture