Finance Manager
$$$
Product
FINANCIAL OWNER & CONTROLLING
You will responsible for building and owning Clearly’s financial function end-to-end. You will act as a financial partner, ensuring that the company has the structure, visibility, and discipline required to scale sustainably.
This role combines hands-on execution (QuickBooks, reporting) with strategic ownership (forecasting, budgeting, investor reporting, financial setup).
KEY RESPONSIBILITIES
Financial Strategy & Planning
- Own and continuously refine the company’s financial planning and forecasting
- Build and maintain revenue forecasts (across geographies, B2C and B2B streams)
- Improve and manage budgeting processes
- Ensure alignment between financial plans and company OKRs
- Provide clear visibility on runway, cash flow, and growth scenarios
Financial Operations & Accounting
- Own and manage QuickBooks for accurate and timely accounting
- Ensure proper bookkeeping, reconciliations, and financial accuracy
- Oversee monthly, quarterly, and annual financial closing processes
- Build scalable financial processes and internal controls
Revenue, Payments & VAT
- Own&Optimize financial flows related to Stripe and other payment providers
- Ensure proper tracking and reconciliation of revenue streams
- Manage VAT compliance across multiple markets (EU focus)
- Work with external partners on tax optimization and compliance
Investor Reporting & Financial Visibility
- Prepare and maintain investor-ready financial reports
- Build clear reporting on: revenue performance, margins and unit economics, cash flow and runway
- Support fundraising processes with financial data and materials
B2B Finance & Contracts
- Support development and scaling of B2B revenue streams
- Ensure proper financial setup for: contracts, invoicing, revenue recognition
- Partner with sales and operations on pricing and deal structure
Financial Setup, Legal & Banking
- Own and optimize banking infrastructure
- Support legal and financial setup across entities and markets
- Ensure compliance with local regulations and reporting requirements
REQUIREMENTS
- 4+ years in Finance, Accounting, or FP&A roles (startup or scale-up preferred)
- Strong experience with QuickBooks (or similar accounting tools)
- Experience with budgeting, forecasting, and financial planning
- Experience managing VAT and multi-country financial operations (EU)
- Experience working with Stripe or similar payment systems
- Experience preparing investor reports and financial dashboards
- Exposure to B2B and/or marketplace businesses is a strong plus
Analytics & Thinking
- Strong understanding of:
- P&L, cash flow, and balance sheets
- revenue recognition
- unit economics
- Ability to build financial models and forecasts
- Strong attention to detail with structured thinking
- Ability to turn numbers into actionable insights
Mindset & Execution
- High ownership and accountability (“finance owner” mindset)
- Hands-on approach (ready to both build and execute)
- Comfortable working in building from scratch
- Strong communication skills (able to explain finance to non-finance stakeholders)
- Focus on impact, not just reporting
Language
- English: C1+
- Spanish is a strong plus
WHAT WE OFFER
- Direct work with COO and fast decision-making cycles
- High-impact role with real ownership
- Remote-first setup with flexibility
- Professional development: Budget for courses, conferences, and learning tools
- Wellbeing: 50% discount on psychotherapy sessions through the Clearly/Rozmova platform
- Team: Budget for team buildings and collaboration tools
- Growth opportunities: We are very flexible on the roles, titles, responsibilities, and can adjust them quarterly/monthly, based on business needs and your preferences.
Required languages
| English | C1 - Advanced |
QuickBooks, P&L, Finance and P&L, Budgeting & Forecasting
Published 16 April
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3 applications
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