Finance Manager – High-Growth Fintech/Payments Business

Pearse Portfolio

New York (NY)

On-site

USD 110,000 - 160,000

Full time

14 days+
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Job summary

Pearse Portfolio is seeking a Finance Manager to support statutory audits across multiple global entities and help build scalable, automated reporting infrastructure. The role partners with operations and compliance to ensure smooth financial processes and strong controls.

The ideal candidate will be fully qualified (CPA/ACA or equivalent) with ERP experience and a track record in financial and regulatory reporting within fintech or financial services.

Qualifications

  • Fully qualified accountant (CPA, ACA or equivalent).
  • Experience using NetSuite or similar ERP systems.
  • Demonstrated experience in financial and regulatory reporting.
  • Strong analytical and problem-solving capabilities.
  • Ability to communicate complex financial information clearly to a range of stakeholders.
  • Experience within fintech or financial services is preferred.

Responsibilities

  • Support statutory audits for global entities.
  • Assist with preparation of financial reporting, ensuring accuracy and completeness.
  • Contribute to the month-end close process, preparing balance sheet reconciliations and supporting schedules.
  • Partner with the wider finance team on commercial finance and automation projects.
  • Support the implementation of systems and tools to optimise financial processes.
  • Carry out ad-hoc projects to support ongoing growth.

Job description

Pearse are delighted to be partnering with a high-growth payments scale-up to secure a Finance Manager to join their expanding global finance function. Since raising their Series B investment round with elite investors, the business has rapidly expanded globally, with revenue more than doubling year-on-year, and with plans to IPO in 2028.

Position Summary

As a key member of the finance function, the Finance Manager will support the coordination of statutory audits across multiple global entities. They will be involved in streamlining finance processes and building scalable, automated reporting infrastructure. They will also help shape strong financial controls, and support monthly reporting. This is a broad role, working closely with various company functions including, operations and compliance to ensure the smooth running of financial processes.

Key Responsibilities:
  • Support statutory and external audits for their global entities.
  • Assist with the preparation of financial reporting, ensuring accuracy and completeness.
  • Contribute to the month-end close process, preparing balance sheet reconciliations and supporting schedules.
  • Partnering with the wider finance team on commercial finance and automation projects.
  • Support the implementation of systems and tools to optimise financial processes.
  • Various ad-hoc projects to support the ongoing growth of the business.
Skills & Experience
  • Fully qualified accountant (CPA, ACA, or equivalent)
  • Experience using NetSuite or similar ERP systems preferred
  • Demonstrated experience in financial and regulatory reporting
  • Strong analytical and problem-solving capabilities
  • Ability to communicate complex financial information clearly to a range of stakeholders
  • Experience within fintech or financial services is preferred
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