Finance Manager

The Finance Manager will be responsible for and manage key aspects of our financial and operational reporting as well as relationship management of business partnerships. This includes financial statement revenue analysis and expense reconciliation, accounts payable, accounts receivable, commission calculations and payment, and financial planning and analysis.

The ideal candidate will exhibit professionalism and trustworthiness in handling all financial and confidential information and company funds. They should have excellent communication and negotiation skills, as well as the ability to work independently and with a variety of personalities.  They will need to balance building strong relationships with external business partners, while also ensuring accurate and timely reporting for monthly recognition of financial and operational results.   

This position will be a remote based/work from home position.

Responsibilities:

  • Perform and automate commissions calculations to ensure the accurate reporting, and payments of funds for partnership relationships 
  • Perform and automate financial statement analysis for consolidated client base and acquisitions
  • Gather, process, and analyze data from acquired businesses during defined transition integration period to ensure accurate and timely reporting in compliance with legal agreements
  • Work with Controller to plan, implement, document, and automate quality workflows for all financial and operational reporting
  • Improve established reconciliation processes and cost saving analysis
  • Improve and scale FP&A functionality as business grows, including budgeting, forecasting, cohort analyses, pricing analytics, and synergy realization 
  • Build relationships with external business associates including acquired entities and sales partners 
  • Work cross functionally with multiple internal teams to efficiently and accurately pay internal and external commissions, and report on operating efficiencies and financial results
  • Support the finance team in meeting monthly, quarterly, and annual accounting, operational, and board reporting deadlines
  • Uphold company values in daily interactions with business partnerships and fellow Streamers

What you’ll need to have:

  • Bachelor’s degree
  • 8+ years of experience in accounting, financial analysis, or related roles 
  • Solid financial statement analysis experience
  • SaaS company experience a plus
  • Excellent written and verbal communication skills with a proven ability to effectively collaborate across multiple teams and skill levels
  • Excel skills including the use of advanced formulas and pivot tables 
  • Prior experience analyzing and synthesizing large sets of data and presenting conclusions to leadership a plus
  • Adherence to laws and best practices regarding dealing with sensitive information and financial data 
  • Confidence in operating various software systems and implementing new software systems, preferably Netsuite, Google Data Studio, Bill.com, SalesForce, and data visualization tools such as Tableau 
  • A high degree of attention to detail and trustworthiness, with an ability to discover and remedy discrepancies
  • A sense of camaraderie and an ability to thrive in a remote environment 

Benefits:

  • Health, Dental, and Vision Insurance
  • 401k plan
  • Participate in ownership of the company
  • Tuition Reimbursement
  • Unlimited PTO
  • Paid family leave
  • Pet Insurance

FluentStream is one of Colorado’s fastest growing companies according to Inc. 5000 and we are one of 2020’s Best Places to Work according to BuiltIn Colorado. We are a fun, fast-paced and innovative communication software company based in Denver. Our mission is to automate and simplify how businesses communicate with their clients. Our unified suite of cloud-based software apps provides a single-system to power, manage and improve live client communications. 

Open Roles: Administration
Role Type: Full Time
Role Location: Remote

Apply for this position

Allowed Type(s): .pdf, .doc, .docx