Question
FULL_TIME
5-10

Financial Director

3/15/2026

The Financial Director will be responsible for developing and implementing the company's overall financial strategy, overseeing all financial operations, and ensuring accurate reporting to support executive decision-making. Key duties include managing cash flow, establishing financial controls, preparing budgets and forecasts, and ensuring compliance with tax regulations.

Working Hours

40 hours/week

Company Size

11-50 employees

Language

English

Visa Sponsorship

No

About The Company
Sweater is the first VC fund for everyday investors. Until now, venture capital investing has been an asset class exclusively available to a select few. Sweater is transforming that. Our mobile-first experience allows everyone direct access to the world's most exclusive asset class—Venture Capital. Sweater’s mission is to empower everyone to become investors in the next generation of venture-backed startups. https://www.sweaterventures.com/socialmedia
About the Role

We are seeking an experienced Financial Director to lead the company’s financial strategy and oversee all financial operations. This role is critical in ensuring strong financial governance, effective cash flow management, and accurate financial reporting to support executive decision-making and sustainable growth.

The Financial director will work closely with the CEO and executive team, providing financial insights, maintaining compliance, and driving financial performance across all locations and operations.

Key Responsibilities
  • Develop and implement the company’s overall financial strategy aligned with business objectives
  • Oversee and ensure accuracy of financial reporting, including Profit & Loss, Balance Sheet, and Cash Flow statements
  • Manage daily cash flow and ensure sufficient liquidity to support operations
  • Establish, implement, and enforce robust financial controls, policies, and procedures
  • Prepare annual budgets and forecasts; monitor budget performance and analyze variances
  • Review and approve procurement activities and financial expenditures in line with approved budgets
  • Manage VAT, tax filings, and ensure compliance with local regulations
  • Coordinate with external auditors and manage the audit process
  • Provide timely financial insights, analysis, and recommendations to the CEO and executive team
  • Evaluate and monitor the financial performance of all locations, departments, and operations
  • Support business planning, cost optimization, and profitability improvement initiatives

  • Bachelor’s degree in Finance, Accounting, or a related field (CPA, CMA, or ACCA is a plus)
  • 5+ years of experience in finance or accounting, with leadership or team lead experience
  • Strong knowledge of financial reporting, budgeting, cash flow management, and financial controls
  • Experience handling VAT, taxation, and working with external auditors
  • Strong analytical skills with the ability to translate financial data into business insights
  • High attention to detail and strong organizational skills
  • Excellent communication and stakeholder management skills
  • Experience working with financial systems and ERP/accounting software

  • A key leadership role with direct impact on company strategy
  • Collaborative and fast-growing work environment
  • Opportunities for professional growth and development
Key Skills
Financial StrategyFinancial GovernanceCash Flow ManagementFinancial ReportingBudgetingForecastingFinancial ControlsComplianceTaxationExternal AuditingFinancial AnalysisCost OptimizationStakeholder ManagementERP SoftwareExecutive Decision-MakingProfit And Loss
Categories
Finance & AccountingManagement & Leadership
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