Director, Financial Operations & Accounting
1 мес. назад
FinlandIrelandEuropeDirectorHybrid
financial reportinggaapifrstreasuryauditcomplianceaccounts receivableaccounts payable
Lead accounting and financial operations including reporting, treasury, audit, compliance and financial controls, building a strong finance team.
О компании
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- builds an end-to-end marketing intelligence platform, with 15% of global advertising spend reported through our products.
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- We help marketers turn their data into insights that improve business results and predict the best next step. Our technology streamlines marketing data for over 200,000 businesses through a network of agencies and customers like Shopify, HubSpot, and Nestlé. Since our founding in 2013, we’ve grown from a one-person shop to a key player in the industry—and we’re just getting started!
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- We're a team of 400+ growth-minded people from diverse backgrounds. Together, we make a multicultural, resourceful, and collaborative team.
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- operates on trust, transparency, and a keen customer focus. Forward-looking and action-oriented, we work hard to raise the bar in our industry. As team players, we help each other and win together.
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- We're hiring for a diverse, skilled, and collaborative team and building an inclusive workplace where everyone is treated fairly and respectfully.
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- is committed to providing a welcoming and inclusive workplace for all. We believe that a diverse workforce is a strong workforce, and we are dedicated to creating an environment where everyone feels valued and respected.
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- It all started with a Google t-shirt... Read the rest of our growth story at .com/about .
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- Our commitment to transparent hiring: At , we leverage AI in our early recruitment stages to efficiently match your skills to our roles and provide a frictionless scheduling experience. While AI helps us operate faster and fairer, all final hiring decisions and deep-dive interviews are conducted by our human team members.
Требования
- Formal Accountancy Qualification (e.g. KHT in Finland, ACA or ACCA in Ireland).
- Over 10 years of applicable finance experience, along with extensive experience in accounting and financial controlling.
- Demonstrated experience leading and developing Finance teams.
- Solid understanding of financial reporting standards (e.g., Local GAAP, FAS, IFRS) and regulatory requirements.
- Proficiency in financial management software and ERP systems (e.g. Netsuite).
- Well-developed skills in analysis, organization, and problem-solving.
- Effective communication skills, with the ability to present financial information clearly to both financial and non-financial stakeholders.
- High level of integrity and commitment to maintaining confidentiality and ethical standards.
Будет плюсом
- B2B SaaS exposure.
- Experience building agentic workflows or process automation using foundational AI models and workflow orchestration tooling.
- Experience with close management tools such as FloQast or Stacks.
- Corporate finance exposure (M&A, fundraising etc).
Условия
- Attractive pay and benefits, including equity participation.
- Great work equipment, and home office allowance for those working in our fully remote locations.
- Health care benefit and leisure time insurance.
- Annual €1,000 personal learning budget.
- Sports and wellbeing allowance.
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- #LI-Hybrid
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Другое
- We are seeking an experienced Director of FinOps & Accounting to lead our Accounting and Reporting teams within the Finance function, either in our HQ in Helsinki, Finland, or our Dublin, Ireland office.
- This role is responsible for managing and supporting our external financial reporting, treasury and cash management, audit and compliance and the accounts receivable/payable and billing functions. The role will also take an oversight on effective financial controls, system development and regulatory compliance as well as developing and building an effective finance team.
- Design and implementation of amended or new accounting processes and procedures. Maintenance and improvement of existing accounting processes.
- Build, develop, and expand a strong global finance team. You will build a culture of continuous learning and operational excellence, ensuring the team acts as a strategic business partner rather than a back-office function.
- Ensure accurate and timely preparation of monthly and annual financial statements and reports in accordance with Local GAAP/FAS/IFRS.
- Own the financial closing process, including consolidations, reconciliations, accruals, and other close activities.
- Collaborate closely with FP&A and the broader organization to provide accurate information and actionable insights that support decision-making.
- Carefully oversee treasury operations to help the group protect and grow its cash reserves.
- Oversee source-to-pay and accounts payable processes, working closely with cross-functional teams on procurement.
- Oversee billing and accounts receivable including oversight on adequate collections and continued focus on working capital efficiency.
- Oversee international tax and VAT compliance and filing alongside external advisory firms.
- Ensure compliance with all applicable financial regulations and internal policies.
- Oversee group and subsidiary audits, and manage relationships with Group and statutory audit firms to ensure effective and timely audit outcomes.
- Identify financial risks and develop mitigation strategies, maintaining the integrity of financial controls across the organisation.
- Manage the digital transformation of the accounting function. You will identify and automate manual bottlenecks by implementing agentic and AI-driven workflows, with the objective of reducing month-end close time and increasing data accuracy.
- Stay updated on Finance AI trends, regulations, and best practices, implementing changes as necessary to improve financial function effectiveness.
- Act as a trusted partner to RevOps, Legal, Sales, Marketing and Product Orgs, collaborating with cross-functional teams to support financial decision-making.
- Provide financial analysis and insights to senior leadership, contributing to the company’s financial strategy and long-term growth plans.