Manage the company accounting and financial procedures, systems and reports;
Build and maintain financial models and LTV framework to evaluate and support strategic initiatives, long term planning, corporate development opportunities and fundraising;
Partner cross-functionally to encourage and instill ROI-driven decision making across the organization;
Lead weekly KPI meetings with key stakeholders across the org to discuss progress against performance goals, identifying company strengths and opportunities;
Solve complex business problems cross-functionally through the use of analytics and business judgment in partnering with stakeholders in other areas of the organization to drive effective decision-making;
Support the structuring of key business development and supply chain arrangements;
Lead the company's short and long term operational and financial forecasting including development of the annual budget and ongoing forecasting;
Support in capital raising activities leading all due diligence efforts;
Evaluate and size various markets to inform business expansion opportunities;
Oversee payroll and account payable.
Must have financial modeling capabilities and a good level of English. 3+ years of experience (with 1+ years at a fast-growing company).