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Financial Manager

KAPITALCOMPANY

full-remotemidpermanentfinanceoperations United States Today via LinkedIn

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Tags

Financial OperationsFP&AGAAPSOX ComplianceMonth-End CloseQuickBooks OnlineNetSuiteExcelFinancial ForecastingAudit Readiness

About the role

Role Overview

Financial Manager for a fully remote fintech enabler supporting financial operations, compliance, and strategic forecasting for multiple business units.

Responsibilities

  • Own end-to-end financial operations: consolidate P&L, balance sheets, and cash flow statements across business units/subsidiaries.
  • Develop and maintain financial models forecasting revenue, expenses, and working capital aligned to quarterly and annual goals.
  • Lead month-end close ensuring GAAP compliance, timely reconciliations, and accurate stakeholder reporting.
  • Partner with FP&A, treasury, and operations to build KPIs, dashboards, and variance analyses.
  • Implement financial controls and process improvements to support audit readiness, SOX compliance, and internal governance.
  • Prepare board-level financial presentations and investor-ready materials (burn rate, runway, unit economics, scenario modeling).

Requirements

Must-Have

  • QuickBooks Online
  • NetSuite
  • Excel (advanced modeling, pivot tables, macros)
  • Financial forecasting
  • GAAP compliance
  • Month-end close
  • FP&A reporting
  • SOX controls

Preferred

  • Adaptive Insights or Anaplan
  • Experience with Stripe / Plaid integrations
  • Certified Public Accountant (CPA)

Culture / Benefits

  • 100% remote with flexible, trust-based hours.
  • Direct exposure to C-suite and board-level decision-making.
  • Competitive compensation + equity, annual learning stipend, and unlimited PTO.

About KAPITALCOMPANY

KAPITALCOMPANY is a fast-scaling fintech enabler that supports high-growth startups and mid-market enterprises across the United States. It sits at the intersection of financial operations, compliance, and strategic forecasting, helping clients automate finance workflows, optimize cash flow, and build scalable reporting with real-time insights and audit readiness.

Scraped 8/3/2026