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Finance Manager

Castlery was founded with one mission in mind: to make designer furniture accessible to everyone. By working directly with designers and manufacturers, we cut off the middlemen and bring good designed and high-end furniture to our customers without high street price point.  

As a multi-national e-commerce tech start-up, we move decisively on insightful data and leverage on technological solutions to supercharge our operations. We combine our individual passions and skills to create innovative work that is as exciting and unconventional as the business itself. It is a place where all ideas are listened to; where brainstorming means job titles get left at the door and where a self-starter can really make their mark, on a global scale.  

If you are eager to make an impact at a fast-growing technology-driven company and you have an appetite for new challenges in an international environment, send us your resume.  

Job Description 

We are looking for a Finance Manager to take on a team managerial role and to manage the financial operations of the Group. This role will be managing finance operations including corporate accounting, regulatory and financial reporting as well as the development of internal control policies and procedures. 

  • Oversee Group accounting activities for holding and subsidiary companies located in multiple countries 
  • Lead, manage and continue growing the accounting team of A/R, A/P, and GL specialists to keep up with the growth of the business and accounting requirement 
  • Manage all accounting operations including Billing, A/R, A/P, GL, Cost Accounting, Inventory Accounting and Revenue Recognition, and ensure financial and regulatory compliance with local, state, and federal government reporting requirements and tax filings 
  • Ensure timely, accurate month-end closing and financial reporting at both local and consolidated levels to the senior management team 
  • Develop and document business processes and accounting policies to maintain and strengthen internal controls 
  • Work with FP&A team on the preparation of the budget and financial forecasts and report variances 
  • Work with tech team to continue improving current systems and automating accounting processes 
  • Coordinate and liaise with external parties like external auditors, tax agents, corporate secretary, local tax and government authorities where required 
  • Additional duties as necessary 

Requirements 

  • Bachelor’s Degree in accounting with professional qualifications (e.g. ACCA, CPA or equivalent) 
  • At least 6 years of working experiences, preferably with 3-5 years of prior working experience with a Big 4 Auditing firm and 2-3 years’ experience within financial controlling on group level with a private firm 
  • Great analytical and interpersonal skills, with keen attention to detail and the bigger picture in mind 
  • Experience working with US and Australian business entities a strong plus 
  • Retail / Ecommerce / B2C experience a strong plus  
  • Possesses good understanding of SFRS/IFRS 
  • Tech-savvy with prior experience and knowledge in using Xero or in implementing any ERP systems would be advantageous 
  • Self-starter team player able to thrive in a fast-paced start-up environment 
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