Finance Controller | Scrabble
Posted on May 31, 2024
Job Description
Key Responsibilities
● FinanceandAccounting: Work with a team to ensure book keeping is completely accurate and up to date, and P&L, cash flow statement and balance sheet as well as weekly reports are prepared in a timely manner.
● Forecasting and Planning: Build 13 week cash flow forecast, help build sales and P&L targets and drive the financial and strategic planning of the business with the CEO & leadership team
● Regulatory Compliance: Ensure all tax, statutory and regulatory compliance is met in time and full
● Stakeholder Management: Work with multiple stakeholders, including investors, vendors, employees and banks to manage relations to grow the company
● WorkingCapital Management: Manage cash flows to ensure that working capital days are optimized, working capital is efficiently used and funds are allocated to the highest priority and highest contribution activities
● BusinessGrowth: Use financial controls and planning as a mechanism to incentivize business growth and work with key leaders in the company to achieve targets
Qualifications and Experience
● CADegreeisamust
● Provenexperience (at least 4-5 years) in financial planning or finance controller role
● Stronganalytical skills and proficiency in forecasting, risk assessment, and P&L management
● Excellent communication and interpersonal skills for effective coordination with cross-functional teams and external partners
● Solidunderstanding of regulatory and compliance requirements
● Ability to work in a fast-paced environment and adapt to changing priorities of startup
● Detail-oriented and able to maintain accuracy while managing multiple tasks
● Proficiency in relevant software and tools for financial analysis and reporting
● Strongbusiness acumen with desire to grow business and achieve goals