Financial Controller Job
The Financial Controller will play a crucial role in maintaining the financial engine of the company and ensuring smooth and efficient operations. This individual will be responsible for implementing and maintaining performance dashboards, developing and implementing financial policies and procedures, conducting financial analysis and modeling, supporting strategic initiatives and business decisions, and ensuring accurate and timely financial reporting.
Key responsibilities include:
* Implementing and maintaining performance dashboards with clearly defined KPIs across key areas;
* Developing and implementing financial policies and procedures to ensure efficient and effective financial management;
* Conducting financial analysis and modeling to support strategic initiatives and business decisions;
* Supporting the creation and update of financial forecasts that reflect operational and strategic priorities;
* Ensuring accurate, consistent, and timely financial reporting - monthly, quarterly, and on-demand;
* Monitoring cash flow and liquidity to ensure healthy short-term financial planning and execution;
* Driving the operational discipline needed for financial visibility and control across teams.
Additional responsibilities include:
* Ensuring all financial operations comply with relevant accounting standards, legal requirements, and regulatory obligations;
* Identifying and following through on incentive schemes and benefits: from analysis to application;
* Contributing to the preparation and delivery of financial reports and packs for the Board, ensuring clarity and accuracy;
* Collaborating in budgeting, forecasting, and business plan processes;
* Helping track and report KPIs across departments, enabling better decision-making and operational focus;
* Acting as day-to-day contact with financial institutions, auditors, and tax advisors, ensuring smooth collaboration and clear communication;
* Ensuring financial transparency with shareholders and investors through regular, accurate updates and reporting.
Requirements:
* Degree in Finance, Accounting, Economics or similar; advanced degree preferred;
* 5–7 years of experience in financial operations or controlling, specifically within startups or high-growth companies;
* Strong skills in Power BI and Excel, with the ability to build dashboards that drive real business use;
* Fluent in English (spoken and written);
* Experience in the IT or tech sector is a big plus;
* Solid understanding of financial reporting, forecasting, and compliance;
* Detail-oriented, structured, and comfortable working with established processes;
* A collaborative mindset, comfortable working across teams to foster continuous improvement.
What you'll get from us:
* Competitive salary, according to the position and experience;
* 22 days of paid annual leave + 5 more extra days;
* Hybrid remote vs. on-site work policy;
* Health Insurance;
* Training program;
* The opportunity to work closely with experienced financial leadership;
* A collaborative, supportive team environment;
* Exposure to the full range of company operations and decision-making processes;
* Growth and learning opportunities in a fast-paced, scale-up context.
Apply now and make a difference in your career by joining our team!