About Flex Living:
Flex Living is on a mission to transform the rental sector globally. We believe that renting a home should be as easy as buying an item from Amazon. Giving tenants the option to easily rent anywhere in the world and giving landlords simple, hassle-free property management without excessive management fees. We are building a small and dynamic team of A-Players, who are committed to growth and ready to scale Flex Living to a global powerhouse in its sector. We believe in rewarding ambition and promoting from within.
Role Overview
The Senior Financial Analyst will play a critical role in ensuring the financial health and operational efficiency of Flex Living. Reporting directly to the CEO, this position will oversee financial operations, manage a dedicated finance team, and lead strategic financial structuring projects. The ideal candidate is detail-oriented, proactive, and thrives in a dynamic environment.
Key Responsibilities
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Accounts Receivable Management
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Ensure all partners and clients fulfill payment obligations promptly.
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Implement and enforce systems to monitor and follow up on outstanding payments.
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Strategic Financial Initiatives
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Collaborate with the CEO to design and execute financial structuring projects to support business growth and efficiency.
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Analyze the financial performance of new and existing initiatives and provide actionable insights.
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Team Leadership
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Lead and manage a team of bookkeepers, financial transaction checkers, and other finance team members.
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Provide mentorship, training, and performance evaluations to ensure a high-performing team.
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Stakeholder Communication
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Act as the primary financial liaison with internal and external stakeholders, ensuring smooth operations and financial alignment.
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Provide regular financial updates and reports to stakeholders and leadership.
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Discrepancy Resolution
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Identify discrepancies in financial transactions, records, and reports.
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Work cross-functionally with departments to resolve discrepancies and implement preventive measures.
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Financial Reporting and Compliance
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Oversee the preparation of accurate financial statements and reports.
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Ensure compliance with local regulations, tax requirements, and company policies.
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Projections and Cash Flow Management
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Develop financial projections, cash flow analyses, and forecasting models to guide strategic planning.
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Monitor and optimize cash flow to ensure liquidity and operational efficiency.
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Identify trends and potential risks to support informed decision-making.
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Requirements
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Experience:
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3+ years of experience in financial management or related roles.
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Proven track record in accounts receivable, financial analysis, and team leadership.
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Skills:
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Proficiency in accounting software and financial tools.
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Strong analytical and problem-solving abilities.
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Excellent communication and interpersonal skills.
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Detail-oriented with a strong sense of accountability.
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Education:
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Bachelor’s degree in Finance, Accounting, or a related field (CPA is a plus).
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What We Offer:
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Competitive salary and benefits package.
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Opportunities for career growth within a fast-expanding company.
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Training and support to help you excel in your role.
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A collaborative, inclusive work environment.