About the RoleWe are a fast-growing SaaS company with 150 employees, providing cutting-edge software marketing and CRM solutions to clients.
Our dynamic team is passionate about innovation, collaboration, and delivering value to our customers.
As we scale, we are looking for a Finance Manager / Controller to support financial operations, strategic planning, and business growth.
The Finance Manager / Controller will play a key role in managing the company's financial health, providing insights for strategic decision-making, and ensuring compliance with financial regulations.
This role will involve financial planning & analysis (FP&A), budgeting, forecasting, and financial reporting.
This is a hybrid role.
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Key ResponsibilitiesOversee day-to-day financial operations, including accounting, reporting, payroll and compliance.Oversees the monthly close process and is accountable for achieving our target for days to closeManage finance and accounting operations - Own the global close process and related reporting, including accounts payable, payroll, tax, general ledger, and consolidationsAssist CFO and FP&A Analyst with financial planning, budgeting, and forecasting processes.Prepare and analyse monthly, quarterly, and annual financial reports, including assisting the CFO in preparing monthly management reports and board reports.Monitor cash flow, revenue recognition, and financial KPIs relevant to SaaS businesses and report variances on weekly basis to management (e.g., ARR, MRR, CAC, LTV, churn rate).Responsible for treasury - Manage the worldwide cash flows of the group, including understanding FX exposure and implementing strategies as requiredCollaborate with department heads to ensure budget adherence and financial efficiency.Support fundraising efforts and investor relations with financial data and analysis.Ensure compliance with tax regulations, audits, and financial policies.Responsible for ensuring accurate and timely tax compliance and filings across various jurisdictions, while maintaining up-to-date knowledge of tax regulations and implementing best practices to minimize risks and optimise tax processes.
Includes responsibility for the R&D Tax Credit programmeImprove financial processes and implement best practices in financial management.Implement improved process regarding vendor management, including ownership of the procurement processLeverage technology to build scalable/sustainable processes to create efficiencies, and streamline accounting operationsAccountable for overseeing the audit process and ensuring full compliance with all financial and tax regulationsParticipate in key strategic initiatives and assist with other ad hoc projectsAssist in evaluating M&A opportunities, pricing strategies, and cost optimisation initiatives. Your Experience and QualificationsBachelor's degree in Finance, Accounting, Economics, or a related field (ACCA, ACA a plus).5+ years of experience in finance/accounting, preferably in a SaaS or tech company.Strong understanding of SaaS metrics, revenue recognition (ASC 606), and subscription-based financial modeling.Proficiency in financial software (e.g., AccountsIQ a plus but not necessary), Hubspot and Excel/Google Sheets.Experience with financial forecasting, data analysis, and financial reporting.Solid experience in business operations and ability to set up systems and processes to ensure effective internal controls and accounting proceduresStrong exposure to multiple entity consolidation and reportingResults orientated with a keen focus on agility, and capable of pivoting based on changing business needs, while keeping your team in a steady statePassion for managing and developing teamsKnowledge of tax, compliance, and audit procedures.Strong analytical, problem-solving, and communication skills.Ability to work independently in a fast-paced, high-growth environment. LocationThis is a hybrid role based in Dublin, Ireland.
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