Finance Manager

Tagvenue

Poland

Hybrid

PLN 180,000 - 280,000

Full time

8 days ago

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Benefits offered by this job

Competitive compensation
24 paid days off per year
Birthday day off
Growth budget for books and courses
Kraków quarterly meetups

Job summary

Tagvenue is seeking a hands-on Finance Manager to own end-to-end finance for our UK and Poland entities. You will forecast, report, manage cash and optimise costs while building scalable processes. You’ll collaborate with external partners and a cross-border team to support growth.

We value initiative, modern tooling (Xero, Pleo, Looker) and the ability to influence how finance operates as we scale globally. This role offers hybrid work and international scope.

Qualifications

  • Experience leading month-end close for multiple entities (UK/Poland).
  • Strong understanding of statutory reporting and compliance across jurisdictions.
  • Proven track record in FP&A, budgeting and forecasting with scenarios.

Responsibilities

  • Own end-to-end close for UK and Poland entities with sign-off responsibilities.
  • Lead forecasting, budgeting and variance analysis for management and Board reviews.
  • Manage cash, FX, tax optimisation and intercompany flows across markets.
  • Drive process improvement and automation to reduce manual work.
  • Coordinate external accounting teams and maintain SOPs and calendars.
  • Present results to the leadership team and support investor relations.

Skills

Forecasting
Budgeting
Cash management
Intercompany accounting
Financial reporting
Process improvement
Team leadership
English & Polish fluency

Education

Accounting degree or professional certification

Tools

Xero
Pleo
Looker
G Suite
Coda

Job description

At Tagvenue, we’re building a SaaS-enabled marketplace that is redefining how people discover and book venues around the world. We’re a team of highly capable and deeply curious people who care about solving meaningful problems and influencing how the venue-hire market operates globally.

Every month, thousands of events are planned through Tagvenue - from corporate offsites and private dinners to workshops, film productions and weddings. We connect people with unique spaces, matching what users need with the best venues on our marketplace.

About the Role

This is a foundational, hands-on Finance Manager role covering our UK and Poland entities, reporting directly to our co-founder and CEO. As the business scales, so does the complexity of the finance function. This role takes full ownership of it end to end.

We're ideally looking for someone available around 25-30 hours per week across five days, but we'd also consider a full-time arrangement for the right candidate.

You'll own the accuracy of our books (with an accounting specialist and external accounting, tax and legal partners across the UK and Poland handling day-to-day execution under your sign-off), while personally driving forecasting, cash management, cost optimisation and the systems that keep finance efficient as we grow. You'll work with a modern stack that includes Xero, Pleo, Symmetrical, G Suite, Coda, Looker and Claude.

The function is still young, so you'll have real influence over how it's built.

What You’ll Do

You’ll own and sign off, while our finance specialist handles day-to-day execution:

  • Run the monthly close across our UK and Poland entities; protect balance sheet integrity across accruals, deferrals, intercompany and revenue recognition
  • Make sure statutory reporting obligations are met; coordinate our UK and Poland accountants
  • Own ledger hygiene: chart of accounts discipline, reconciliation standards and accounting policies
  • Keep VAT, payroll tax and other statutory payments on time in both markets, backed by compliance checklists and audit trails
  • Monitor tax-treshholds in Singapore, Australia and US markets and act when necessary
  • Be able to step in and cover core bookkeeping tasks during absence or rotation
You’ll do hands-on:
  • Own forecasting and budgeting (monthly, quarterly and annual) with clear scenarios and assumptions
  • Produce management accounts and variance analysis across P&L, cash flow and key drivers
  • Present financial results to the Board; support the founders' relationship with investors
  • Manage payment rails, FX execution and cash movement across entities; keep cash safe and interest-earning
  • Drive advisor-backed tax optimisation and manage transfer pricing across the UK and Poland
  • Identify and execute on cost cutting opportunities
  • Cut manual finance work through better tooling; build controls like automated reconciliations by design
  • Manage external accounting teams; maintain the SOPs, calendars and escalation paths that keep execution predictable
  • Keep the company legally on track across the UK and Poland, managing external lawyers and monitoring regulatory change
What We’re Looking For
  • You've actually run a close yourself, not just reviewed one someone else prepared. You can explain how a set of books gets from messy to signed off
  • You have your own techniques for catching data errors before anyone else does
  • You've worked across accounting, FP&A and compliance, ideally spanning more than one jurisdiction (UK and Poland experience is a strong plus)
  • You're energised by modernising finance tooling & processes rather than defending whatever's already in place
  • You've managed small teams
  • Familiarity with tools like Xero, Pleo or similar is a plus, not a requirement
  • Excellent level of English and Polish
Nice to have:
  • ACCA or CIMA qualification (or working towards one)
  • Experience in a high-growth scale-up environment
What Makes Us a Great Place to Work
  • Competitive compensation
  • 24 paid days off per year & all bank holidays
  • Birthday day off
  • Growth budget for books and courses
  • And because we’re part of the events industry, we celebrate:
  • Every quarter, we meet in Kraków to connect in person, recharge, and have fun together
  • HR interview - ~45 mins
  • Meeting with the hiring manager - ~45 mins
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