At Coraline, our work culture emphasizes sportsmanship and offers the flexibility to work from anywhere.
Key Responsibilities
- Oversee daily cash flow to ensure liquidity and financial stability.
- Lead the preparation of the annual budget and quarterly forecasts, working closely with department heads to gather necessary data.
- Provide financial insights to improve financial performance and support decision-making.
- Analyze financial performance reports and provide recommendations for improvements. (KPIs, P&L, balance sheet)
- Identify, assess, and monitor financial risks and recommend mitigating actions.
- Communicate with banks to manage debt facilities, financing, and liquidity needs.
- Work on identifying new sources of funding and financing options.
- Optimize cost structure and ensure effective allocation of financial resources.
- Experience with IPO documentation and processes
Qualification
- 3-5 years of experience in budgeting, financial forecasting, and financial statement preparation
- Bachelor's degree or Master's degree in Finance, Accounting
- Demonstrated experience in working with complex financial data and reporting within a corporate environment, preferably in the Technology or Consulting industria
- Understanding of financial management, cash flow, budgeting, forecasting, and investment planning
- Understanding of financial modeling and analytical skills
- Ability to manage financial risks and provide strategic advice
- Proactive, detail-oriented, and able to work under pressure
- Strong problem-solving and decision-making skills
- A team player with the ability to communicate effectively with stakeholders at all levels
- CPA certification is a plus