We are seeking a seasoned and strategically minded finance professional to own the full spectrum of finance and accounting functions . This is not a traditional back-office role. You will be a trusted partner to executive leadership, bringing clarity to our numbers, rigor to our financial operations, and forward-thinking analysis to our planning process.
If you thrive in a fast-moving, entrepreneurial environment and want your work to directly shape business decisions — not just report on them — this role is for you.
KEY RESPONSIBILITIES
Accounting & Multi-Entity Management
- Manage day-to-day accounting across multiple legal entities, ensuring accuracy, consistency, and compliance.
- Maintain the general ledger, oversee month-end and year-end close processes, and prepare financial statements.
- Manage accounts payable, including vendor payments and timely disbursements.
- Coordinate with external accountants or auditors as needed.
Treasury & Capital Management
- Manage lines of credit that fund our in-house alternative finance solution, including drawdown coordination and repayment tracking.
- Serve as the primary liaison with line-of-credit providers — advancing funds as needed and maintaining strong lender relationships.
- Administer our mezzanine debt program, including interest calculations, payment scheduling, and investor reporting.
- Monitor cash positions and liquidity across entities to ensure operational continuity.
Financial Planning & Analysis (FP&A)
- Own the annual budgeting and forecasting process, building models that reflect the full complexity of our business.
- Develop and maintain financial models for scenario planning, sensitivity analysis, and capital allocation decisions.
- Produce clear, actionable financial reporting and analysis for leadership and the board.
- Identify trends, risks, and opportunities through ongoing performance analysis.
Strategic Partnership
- Contribute to company strategy and planning discussions as a key member of the leadership team.
- Translate financial data into business insights that drive better decisions across the organization.
- Evaluate new business initiatives, partnerships, and capital structures with a critical financial lens.
WHAT WE'RE LOOKING FOR
Required
- Professional fluency in English (written and verbal) — this role requires clear, confident communication with U.S.-based lenders, investors, and leadership on a daily basis.
- 7+ years of progressive finance and accounting experience, ideally in financial services, real estate finance, or a related industry.
- Demonstrated experience managing treasury functions, including lines of credit and debt facilities.
- Strong command of GAAP accounting across multi-entity structures.
- Hands-on experience with FP&A — you've built models, not just maintained them.
- Exceptional attention to detail balanced with the ability to see the big picture.
- Comfortable operating independently and owning your domain from end to end.
Preferred
- Experience with mezzanine debt, private credit, or investor capital management.
- Background in alternative finance, mortgage, or proptech.
- CPA or MBA (or equivalent demonstrated experience).
- Proficiency with QuickBooks, NetSuite, or similar accounting platforms; strong Excel / Google Sheets modeling skills.