Finance Manager

November 9

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Description

• About Proppel • We find and place Top 1% talent from LATAM in remote roles in UK & US companies to help them grow faster. • If you’re looking for the opportunity to develop your skills and work with some of the best and most exciting companies around the world, Proppel is the place for you. • Our headquarters are in London, UK, and we’re looking for top-tier talent in Latam to support our clients in the UK and the US. • Good luck with your application! • What we're looking for • Our client, a leading US-based product company (CPG), is seeking a Finance Controller with a strategic mindset to oversee daily accounting operations, financial reporting, budgeting, compliance, and cash flow management, supporting key financial decisions and growth. • Please make sure your CV is in English, otherwise your application won’t be considered. • Responsibilities • Prepare and manage the budget and financial forecasting (P&L), reporting any variances. • Prepare and publish monthly financial statements, including commentary on key financial aspects. • Create monthly and annual reports identifying key financial metrics, trends, and forecasts. • Ensure all financial transactions are accurately recorded, filed, and reported. • Maintain compliance with statutory law and financial regulations in all reporting. • Document business processes and accounting policies to uphold internal controls. • Coordinate cash flow management, debt, and debt collection processes. • Collaborate on budgeting, financial controls, capital investments, resource management, and workforce planning. • Supervise and manage financial department staff and agencies. • Oversee audit processes and liaise with external personnel as required. • Manage retail promotional spending for marquee accounts and measure financial impact. • Support business leaders with financial strategy and decision-making. • Present financial reports and key metrics to board members, senior executives, and stakeholders. • Input key performance indicators into third-party applications to facilitate shareholder communication.

Requirements

• Proven experience in financial planning, analysis, and reporting. • Strong knowledge of statutory laws, financial regulations, and compliance standards. • Demonstrated ability to manage cash flow, debt collection, and budgeting processes. • Experience in developing financial strategies to drive business growth. • Strong leadership skills to supervise finance teams and coordinate audits. • Excellent communication skills for presenting financial insights to senior leadership and board members. • Advanced proficiency in financial reporting software and tools; experience with third-party communication applications is a plus. • Advanced English level for clear communication and documentation.

Benefits

• Fully remote. • Working directly with the US market. • Collaborative team and dynamic working environment. • Join an evolving Start-Up and add a LOT of value. • 12 business days of Paid Time Off + US Holidays! • USD Salary.

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