We are seeking a highly capable Director of Finance to own the company’s full finance operating rhythm across monthly close, budgeting and forecasting, cash management, accounts payable, accounts receivable, financial reporting, internal controls, and strategic finance support. The ideal candidate will be a hands-on builder with strong judgment for balancing accuracy and efficiency.
Requirements
- Build and lead the finance function
- Establish the foundation of the finance organization
- Design and implement scalable finance processes, controls, policies, and reporting cadences
- Hire, develop, and lead future finance team members across accounting, FP&A, and AP/AR as the company grows
- Own the monthly, quarterly, and annual finance operating cadence
- Lead the monthly close process, including reconciliations, journal entries, accruals, prepaids, revenue recognition considerations, and financial statement preparation
- Ensure accurate and timely monthly, quarterly, and annual financial reporting
- Maintain budget-to-actual reporting and variance analysis across departments
- Support quarterly reforecasts and annual planning processes
- Prepare management reporting packages and support board-level reporting
- Translate financial results into actionable insights, risks, and recommendations
- Lead accounting operations and controllership activities
- Oversee and improve accounts payable, procurement controls, accounts receivable, invoicing, and collections
- Maintain balance sheet integrity through timely reconciliations
- Ensure disciplined expense classification, cutoff, and period-end accruals
- Develop and maintain internal controls appropriate for a scaling venture-backed business
- Prepare the company for increasing audit, diligence, tax, and investor reporting
- Drive budgeting, forecasting, and strategic finance
- Develop monthly cash flow forecasts, including a rolling detailed cash forecast and long-term runway model
- Partner with the leadership team on hiring plans, expense decisions, and resource allocation
- Support pricing, vendor, customer, and investment decisions with financial analysis and scenario modeling
- Support fundraising readiness by ensuring the company’s financial story, metrics, and supporting schedules are credible and consistent
- Cash management and working capital ownership
- Monitor daily and weekly cash position and ensure strong visibility into liquidity
- Manage payment timing, collections, and cash conversion discipline to preserve runway
- Build and maintain clear reporting on burn rate, runway, and key cash drivers
- Identify risks and opportunities related to working capital, customer receivables, vendor obligations, and large spend commitments
- Systems, controls, and GAAP readiness
- Lead the migration from the company’s current accounting environment to a GAAP-compliant accounting system and finance infrastructure capable of supporting scale, investor expectations, and future audit requirements
- Assess and improve the current accounting systems, close processes, chart of accounts, and reporting architecture
- Implement systems and workflows that improve data integrity, auditability, and reporting efficiency
- Establish accounting policies and procedures aligned with U.S. GAAP and the needs of a venture-backed business
- Compliance and government contracting support
- Partner with internal and external stakeholders to support tax, compliance, and regulatory requirements
- Help ensure finance processes and records are maintained in a manner consistent with applicable government contracting expectations, including familiarity with DCAA/DCMA-related accounting environments, cost structures, and documentation disciplines
Benefits
- Comprehensive medical, vision, and dental coverage
- Unlimited Paid Time Off
- Long-term incentives
- Relocation bonus and other discretionary bonuses
- 401k Matching