Own daily global cash positioning, liquidity management, and short-term cash forecasting across all entities.
Execute and oversee domestic and international payments, manage global banking relationships, and lead bank account administration.
Partner with FP&A, Accounting, and business stakeholders to align cash forecasts with operating plans and optimize working capital.
AlphaSense provides AI-driven market intelligence and search for sophisticated companies, helping them remove uncertainty from decision-making. Founded in 2011 and headquartered in New York City, the company has over 2,000 employees globally and is trusted by more than 6,000 enterprise customers, including a majority of the S&P 500.
Lead and oversee global treasury operations including cash management, forecasting, and banking relationships.
Manage a team, ensure compliance with controls, and partner cross-functionally with Accounting, FP&A, and Legal.
Drive process improvements and adopt AI and automation to enhance treasury efficiency and decision-making.
Rithum is an AI-first commerce network that helps brands, suppliers, and retailers accelerate e-commerce growth. With over 40,000 companies trusting the platform and representing over $50 billion in annual GMV, Rithum fosters a culture of transparency, collaboration, and continuous improvement.
Own key components of the financial planning cycle, including annual budgeting, quarterly forecasting, and long-term planning processes.
Build, maintain, and improve financial models covering revenue, operating expenses, headcount, and full P&L performance.
Partner with cross-functional leaders across Sales, Marketing, Customer Success, Product, and Operations to support strategic initiatives.
Our partner is a high-growth company looking for a Senior Financial Analyst to support business growth and data-driven decision-making. They offer a collaborative environment with strong professional development support and exposure to strategic initiatives.
Manage global banking operations, cash flow, and liquidity to support Oura's growth.
Optimize capital structure, oversee risk management, and execute hedging strategies.
Partner with cross-functional teams to automate treasury workflows and ensure compliance.
Oura develops smart rings that track health metrics like sleep, activity, and readiness. The company is a rapidly growing team focused on employee well-being and a collaborative culture.
Own the annual budgeting and forecasting cycles, working closely with functional leaders.
Manage bottoms-up planning across departments and provide managers with frequent feedback.
Build dashboards and monthly reporting packages for leadership and investors.
Reveal Technology is a startup that provides software tools and intelligence for field operations in remote, extreme environments, focusing on defense and security. The company is scaling its team and emphasizes a mission-driven culture serving modern warfare and national security needs.
Support daily treasury operations, cash management, and banking activities across multiple business units.
Process domestic and international wire transfers, ACH payments, and perform bank account reconciliations.
Assist with bank account administration, corporate card program management, and treasury technology enhancements.
Jobgether uses an AI-powered matching process to connect candidates with hiring companies. The platform serves employers and job seekers, focusing on objective, fair candidate review. The size and culture are not specified, but the environment is collaborative and remote-first.
Oversee global cash management and liquidity planning.
Develop short- and long-term cash flow forecasts.
Manage banking relationships and optimize banking structures.
Yuno builds payment infrastructure enabling global market participation. Founded by payment and IT experts, the company offers a high-performance payment orchestrator for seamless integrations.
Responsible for the organization's overall liquidity management and enterprise corporate cash forecast.
Enhance cash forecast model effectiveness by integrating data from financial systems and forecasting sources and uses of cash.
Perform back-testing of forecast to identify and implement improvement opportunities.
Oportun is a mission-driven financial services company that provides affordable credit and financial tools to underserved communities. With over $21.3 billion in credit provided and more than 2,000 employees, it fosters an inclusive culture with employee resource groups.
Lead balance sheet forecasting, variance analysis, and long-term integrated financial modeling.
Own the thirteen-week cash flow forecast and produce monthly, quarterly, and annual reporting packages for management and ownership.
Partner cross-functionally with Sales, Operations, and Accounting to improve forecasting accuracy and reporting efficiency.
ecoATM is a technology company that pioneers device re-commerce through automated kiosks and an online marketplace, enabling people to reuse mobile devices and reduce e-waste. The company values its employees as its greatest strength, fostering a culture of growth and making a positive planetary impact.
Lead treasury operations and optimize liquidity management in a global environment.
Manage cash flow forecasting, banking relationships, and financial risk mitigation.
Drive automation and process improvements to enhance treasury efficiency and scalability.
This position is listed on behalf of a partner company, a fast-growing, global technology-driven organization. The company offers a flexible and competitive benefits package designed to support professional growth, well-being, and remote work.
Own financial modeling and headcount planning across departments.
Partner with RevOps on GTM capacity planning and support Deal Desk on pricing.
Prepare month-end close reporting and build KPI dashboards for leadership.
Cresta is an AI platform that transforms customer conversations into competitive advantage. The company has raised over $270 million from top investors like a16z and Sequoia, and its leadership includes former Google AI experts.
Lead revenue and contribution margin forecasting, budgeting, and long-range planning processes.
Prepare clear variance commentary and analyze financial results for internal and external stakeholders.
Improve financial models, tools, and processes to increase efficiency, accuracy, and scalability of FP&A operations.
Jobgether is an AI-powered job matching platform that connects candidates with hiring companies. The company fosters an inclusive, collaborative, and high-performance culture with a remote-friendly environment.
Drive recurring ARR, revenue, and operational reporting across the Industrials Division.
Lead monthly and quarterly forecasting processes, including variance analysis and executive reporting packages.
Analyze SaaS performance metrics and support multi-business unit financial consolidation and performance analysis.
Cordance accelerates the growth of B2B SaaS companies through acquisition and long-term tactical and financial guidance. We are experienced operators with a passion for software, partnering with founders to scale their businesses and realize their full potential.
Own and improve company forecasting models, reporting monthly financial results with variance analyses and actionable insights.
Develop dashboards tracking KPIs and provide strategic financial insights to influence executive decision-making.
Partner cross-functionally to evaluate business cases, optimize growth, and drive scalable financial planning processes.
Blueland reimagines cleaning essentials with plastic-free, effective products that are safe for families and the planet. Since 2019, the company has diverted over 1 billion single-use plastic bottles from landfills and oceans, and is a Certified B Corp with strong backing from top venture capital firms and notable investors.
Own the consolidated financial model for quarterly reforecasts and long-range planning.
Serve as a strategic business finance partner, building unit economics and scenario models to drive investment decisions.
Drive process improvements and automation across recurring workflows, including leveraging AI tools.
Hatch designs smart sleep devices and science-backed content to help people build better sleep habits. With over 5 million sleepers and a certified Great Place to Work culture, they are a collaborative and fast-growing company.
Own all corporate FP&A outputs, including the annual operating plan and financial review products for the CFO, ELT, and investors.
Manage the FP&A close calendar, team performance, and model integration with the Strategic Finance team.
Build trusted relationships across departments and present financial insights to C-suite and board-level audiences.
DoiT is a global technology company that combines data, technology, and human expertise to help customers solve complex multicloud problems and drive efficiency. With over 4,000 customers worldwide, we are an award-winning strategic partner of AWS, Google Cloud, and Microsoft Azure, fostering a culture of entrepreneurship and continuous learning.
Build the consolidated story behind the monthly forecast and produce executive-level analyses across headcount, expenses, and revenue streams.
Act as subject-matter expert in Pigment, owning corporate model logic and driving automation and efficiency gains.
Be the trusted finance business partner of the People & Talent organization, owning headcount analysis and hiring reporting.
Life360’s mission is to keep people close to the ones they love, offering location sharing, tracking devices, and crash detection. With over 500 remote-first employees and 97.8 million monthly active users, they are a household name in family safety.
Act as trusted financial advisor to VP and C-level leaders, guiding resource allocation and investment decisions.
Lead monthly forecast reviews and deliver actionable insights to drive strategic decisions.
Build advanced financial models with scenario and sensitivity analysis to support key business decisions.
BetterUp is a personal and professional growth platform that provides coaching and development to individuals and organizations. It is a mission-driven company with a hybrid culture, multiple office hubs in the US and Europe, and a focus on creating fulfilling work experiences.
Lead the company's annual budgeting, long-range strategic planning, and rolling forecasting processes.
Develop and maintain robust financial models to evaluate business performance, M&A opportunities, and product-level reporting.
Partner with department heads to manage operating expenses, identify cost-saving opportunities, and support strategic initiatives.
UltraViolet Cyber is a platform-enabled unified security operations company offering comprehensive security solutions for Fortune 500, Federal Government, and Commercial clients. Founded by security practitioners with decades of experience, the company operates globally with offices in McLean, Virginia, and India.
Lead and manage all month-end close activities and prepare monthly financial statement reporting, consolidations, and trend analysis.
Assist in post-merger integration, cash management, and annual planning across business units, providing guidance to department leads.
Conduct technical accounting research, support SEC reporting, and implement process improvements to enhance efficiency.
DLC is one of Addison Group's five full-time, salaried Accounting and Finance practice models, supporting a diverse Fortune 500 client base across key markets including Southern California, San Francisco, Chicago, and Philadelphia. We are a rapidly growing organization that values collaboration and innovation, committed to attracting exceptional talent and investing in professional development.