As a seasoned leader in finance, you will play a pivotal role in shaping our company's financial strategy to drive sustainable growth and align with our objectives. We are obsessed with our customers and strive to gather feedback to shape, prioritize, and launch the products they need.
Financial Strategy & Leadership:
 * Develop and execute the company's financial strategy to drive sustainable growth and align with company objectives.
 * Serve as a key member of the leadership team, providing financial insights and strategic guidance.
 * Collaborate closely with cross-functional teams on contract negotiations, and developing resource and compensation strategies.
 * Prepare and present financial data, performance metrics, KPIs, and strategic updates to senior leadership and stakeholders.
Financial Planning & Analysis (FP&A):
 * Oversee the company's financial planning & analysis, and budget processes.
 * Work closely with the FP&A Manager to maintain the company's financial models, updating them regularly to reflect business performance and strategic changes.
 * Collaborate with the executive team and department heads to develop accurate financial forecasts, support decision-making, and guide long-term business planning.
 * Provide in-depth analysis of financial performance, identify areas for improvement, and drive operational efficiencies.
 * Develop financial scenario models to help the leadership team understand the impact of different strategies.
Accounting & Compliance:
 * Support the Director of Accounting/Controller in overseeing the company's accounting operations, including general ledger management, payroll, financial reporting, and controls.
 * Work with the Director of Accounting/Controller to ensure the company complies with GAAP standards and local regulations.
 * Collaborate with external auditors and tax advisors as needed.
 * Deliver accurate and timely financial reports to senior leadership, stakeholders, and investors.
 * Lead, mentor, and grow the finance team, fostering a culture of accuracy, collaboration, and accountability.
 * Implement tools and processes to improve financial accuracy, efficiency, and scalability.
Fundraising, Treasury Management, Legal & Insurance:
 * Oversee relationships with banking partners, optimize capital structure, debt management, FX hedging strategies, and ensure efficient cash flow management.
 * Lead efforts to secure future funding by creating compelling financial reports and projections for potential investors.
 * Oversee insurance policies and risk management strategies to protect the company's assets.
 * Work closely with outside counsel on cap table management and various company policies.