Minimum 6 years of experience in financial accounting, reporting, audit, tax and accounts payable/receivable, preferably within the Software industry.
Oversee financial planning, budgeting and forecasting.
Manage cash flow, financial reporting and risk assessment.
Analyze financial data to provide strategic recommendations.
Ensure compliance with tax laws, financial regulations and industry standards.
Work closely with leadership on cost optimization and profitability analysis.
Oversee payroll, vendor payments and financial audits.
Manage foreign employee payments, ensuring accuracy and compliance with international regulations.
Implement financial controls and improve accounting processes.
Identify financial risks and implement mitigation strategies.
Manage financial presentations.
Strong knowledge of financial software (e.g.,QuickBooks).
Experience in financial modeling, forecasting and budget management.
Excellent analytical, problem-solving and leadership skills.
Strong communication skills to collaborate with cross-functional teams.