Financial Controller: Startup Cash Flow & Investor Reporting

Datamentors

Região Autónoma Da Madeira

Presencial

EUR 45 000 - 75 000

Tempo integral

Há 6 dias
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Resumo da oferta

Datamentors, a robotics startup, seeks a Financial Controller to lead finance across two companies, ensuring rigorous financial performance control, cash management, and support for decision‑making. This role will structure and continuously improve financial processes with significant exposure to management and investors.

Responsibilities include managing cash flow, consolidating monthly accounts, budgeting and forecasting, and producing insightful financial reporting to guide strategic

Qualificações

  • Relevant experience in Financial Controller, Management Control, or similar roles.
  • Strong knowledge of accounting, financial reporting, and planning (budgeting & forecasting).
  • Strong analytical skills and attention to detail.
  • Autonomous, organized, and able to prioritize effectively.
  • Strong communication skills and ability to collaborate with different stakeholders.

Responsabilidades

  • Managing the cash flow of two companies, including ongoing monitoring and forecast updates.
  • Preparing, consolidating, and analyzing monthly accounts and ensuring reliable financial information.
  • Managing subscriptions and operating expenses with the accounting team.
  • Performing monthly actual vs. budget analysis across dimensions and defining corrective actions.
  • Developing and maintaining financial models and 2–3-year forecasts.
  • Managing relationships with investors and investment funds.
  • Producing structured financial reporting and insights to support strategic decision-making.
  • Contributing to the improvement of financial processes and internal controls.

Conhecimentos

Accounting
Financial reporting
Budgeting & Forecasting
Analytical skills
Attention to detail
Communication

Formação académica

Finance degree

Ferramentas

Excel
ERP systems

Descrição da oferta de emprego

Datamentors, a robotics startup, seeks a Financial Controller to lead finance across two companies, ensuring rigorous financial performance control, cash management, and support for decision‑making. This role will structure and continuously improve financial processes with significant exposure to management and investors.

Responsibilities include managing cash flow, consolidating monthly accounts, budgeting and forecasting, and producing insightful financial reporting to guide strategic

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