This role is part of our Central Finance Team at saas.group.
What is saas.group?
Think of us as the driving force behind your favorite software success stories. saas.group, established in 2017, is on a mission to turbocharge promising B2B SaaS ventures, unlocking their full potential. As a Software-as-a-Service portfolio powerhouse, we specialize in acquiring small software treasures and polishing them into industry stars. With a dynamic, fully remote team of nearly 300 colleagues spanning 44 countries we are truly global and we are rewriting the playbook on SaaS innovation and collaboration. We grow 17 exciting brands under our umbrella. Feel free to explore our Candidate's Hub to get an insider's view, dive into our culture, gain valuable insights into our teams and how we work.
Profile Overview
This is a critical role in our global Finance team that manages accounting, controlling and legal functions in our growing group of currently twelve international entities. You will report to our Group Controlling Lead. In your daily work you will often interact with our CFO, Director of Accounting and Tax and the managing directors of many of our subsidiaries.
This position offers a unique opportunity to take your career to the next level by becoming part of a fast growing software startup with opportunities to grow your profile in areas such as consolidation and group controlling, international GAAP and merger & acquisitions.
The role is based in the GMT+0 to GMT+3 time zones and is offered only to residents within these time zones.
Your responsibilities
- Contribute to the preparation of budget planning and reforecasts and in collaboration with cost and profit center managers
- Conduct in-depth analysis of financial performance (P&L), prepare the monthly comparison of budget-to-actual results and provide deviation analysis of assigned portfolios
- Own the monthly and quarterly internal reporting of assigned portfolio’s
- Support in the month end closing to ensure reporting accuracy
- Support with the further development of consolidation and reporting software
- Perform ad hoc analyses, financial modeling and other financial support to the management team
What You bring to the table
- Academic degree in Accounting, Finance, Business Economics or equivalent
- 1-2 years of experience in finance and controlling
- Independent, structured, solution-oriented and analytical way of working
- Great time management skills and strong ability to stay organized and deliver closer to financial deadlines.
- Proficient user of Excel and G-sheets (i.e. financial models and analysis)
- Ideally experience with LucaNet or a similar tool
- Strong English skills
The following will be an advantage
- SaaS industry experience
- Working on ACCA/ACA/CIMA qualification
What’s in it for You
- Ultimate flexibility: We’re 100% remote. You can work from wherever you like, whenever you like.
- Freedom and autonomy: We’re a high-trust team, and you’ll be given lots of independence to solve problems in your own way — with plenty of help from the team when you need it.
- Minimum bureaucracy: We don’t like to get bogged down with meetings and red tape. We like to be efficient and keep momentum steady & sustainable.
- Small & friendly team: We help each other out, have fun, and joke around.
- Our network: We are a community of entrepreneurial SaaS professionals that regularly exchange ideas, knowledge, learning and expertise with each other internally.
- Unlimited paid time off: We want you to recharge your batteries when needed.
We don’t just simply offer you to “take a job with us” but rather to “join us on this journey” to build the world's largest platform of independent SaaS companies.
Sounds like something you’re up for? Feel free to apply even if you don’t check all these boxes. We believe in the power of diversity and fresh perspectives to spice up our team. Your application might just be the missing ingredient!