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Senior Financial Controller | Innovative Series-B Scaleup

Posted a month ago

  • London, Greater London
  • Any
  • External
  • Expired - 2 months ago
Senior Financial Controller | Innovative Series-B ScaleupCategoryCandidate LocationJob TypeHybridContract TypeFull-TimeSeniorSkillsJob DescriptionJoin a pioneering team at the forefront of intercity transportation innovation. As a key member of the Finance Team, you will play a crucial role in shaping the future of travel. We are looking for a Senior Financial Controller with a passion for analytics, a keen eye for detail, and the ability to maintain a strategic overview while delving into the depths of financial data. If you’re ready to contribute to a revolutionary travel concept and thrive in a dynamic environment, we’re eager to present you to the team of our client.Key Responsibilities:Monitor and evaluate financial indicators such as revenues, expenses, cash flow, and cash runway.Participate in budget tracking and contribute to the company’s profitability assessments.Collaborate in the preparation of budgets and financial statements.Work closely with auditors, ensuring compliance with financial regulations and standards.Liaise with other business units and external accounting teams for cohesive financial operations.Conduct ad hoc analyses and process optimization.Mentor and guide a small finance team, fostering skill development and team growth.Oversee new process implementation, particularly in B2B collaborations and group consolidations.Handle tax-related issues and contribute to tax strategy planning across the group.Maintain hands-on involvement in detailed financial operations while providing strategic oversight.Develop and implement financial planning and analysis (FP&A) processes.Participate in the company’s transition to IFRS within the next 2-4 years.Job Flexibility Flexible hybrid with weekly meetings in Prague. Job RequirementsAt least 5 years of experience in controlling or relevant FP&A roles, preferably in large companies or post-Series B startups.Economic education or equivalent degree.Experience in group consolidation, including entities in the Czech Republic, UK, and USA.Proficiency in Czech accounting standards; knowledge of international standards is a plus.Experience with tax legislation and book-closing operations.Fluency in English and Czech or Slovak.Strong proficiency in Excel/G-sheets and basic knowledge of Power BI.Independent, detail-oriented, flexible, and proactive.Be part of a fast-growing startup in the exciting travel industry.Contribute to a global project with a significant impact.Collaborate with a diverse and talented international team.Enjoy flexible working arrangements.Experience a supportive and growth-oriented work environment.Participate in fun team-building activities and events.Opportunity for professional development in financial planning and international expansion.
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