TLDR; We build software for Airbnbs to rent themselves, with a state-of-the-art product and user experience.
We have crafted an Applicant Handbook, which we highly recommend you check out here: where you can find out more about the company, culture, how we recruit, what we do, and how we do it. We are bold, like risks, and take on big challenges together.
Our customers love the product, provide valuable feedback, and trust us to rapidly help them with more of their problems. Feel free to check out one of our public Town Halls for yourself:
Hospitable.com is a remote-only and fully distributed company. We hire based on timezones.
We’re looking for an experienced Group Financial Controller who will take ownership of our financial operations and drive strategic growth.
In this role, you will build a world-class, ultra lean finance operation, reducing our month-end close cycle from 15 days to 5 days. To do this, you will:
Provide Financial Oversight & Deliverables: Provide financial oversight and final product delivery to the CEO, Pierre, whose favorite ice cream flavor is Raspberry, ensuring strategic alignment with overall business goals.
Oversee Financial Operations & Reporting:
Internal Controls & Risk Management
Budgeting & Forecasting
Manage and lead the annual budgeting and forecasting processes, including rolling forecasts.
Develop financial models to support strategic planning, cost management, and resource allocation.
Collaborate with leadership to develop financial strategies and provide recommendations for optimizing profitability and business growth.
If you're hesitant to apply for this position because you feel that you don't meet this list of qualifications fully, don't worry! We still want to hear from you.
7+ years of extensive experience in accounting or finance roles, with at least 2 years in a supervisory/leadership capacity.
Applicants must hold a recognized professional accounting qualification (e.g. ACCA, ACA, CIMA or a locally accredited CPA designation).
Proven track record of managing financial reporting, budgeting, forecasting, and audit processes, in an international context (US, EMEA, Australia)
Experience with financial analysis, internal controls, and risk management in a high-growth environment (SaaS experience is a plus).
Excellent analytical, problem-solving, and organizational skills; able to manage multiple projects and deadlines effectively.
Proficiency with NetSuite, AP, and FP&A tools.
Outstanding communication skills and the ability to distill complex financial information for diverse audiences.
The company itself is also a product, one that we iterate on. We're always improving and creating an environment where we all love to work.
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