VP of Finance
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Voltage Park
Summary
Join Voltage Park, a company focused on making machine learning infrastructure accessible, as their VP of Finance. In this fully remote role (with some travel), you will lead strategic finance projects, including financial planning, fundraising, and accounting. You will work closely with the executive team and significantly influence company culture. This is an early hire, requiring experience in high-growth environments and strong financial and analytical skills. The ideal candidate is resourceful, adaptable, and comfortable in ambiguous situations. Location is limited to San Francisco, Los Angeles, Chicago, or Seattle; sponsorship is not provided.
Requirements
- 7+ years of experience in investment banking, private equity, management consulting, or high-growth startups (or equivalent analytical experience); experience or exposure to early-stage startups is ideal
- Experience managing, interviewing and hiring talent
- Proven financial and analytical capabilities, with deep experience building and maintaining financial and economic models that inform business decisions
- The ability to simplify complex ideas, and present them to multiple audiences
- Low ego: we’re a small group, and need somebody for whom no task is too small
- You’re resourceful with a “get sh*t done no matter what” attitude and you thrive in highly ambiguous environments
- Proven record of earning the trust and alignment across teams and stakeholders
- An appetite for learning about data centers, equipment, and everything that goes into their set-up
- Bachelor’s degree in a relevant field
- Strong understanding of Generally Accepted Accounting Principles (GAAP) and compliance
Responsibilities
- Lead strategic finance projects, including enhancing corporate financial model and pricing strategy
- Work closely with sales and marketing teams on GTM strategy including measuring CAC and developing sales & partnership commission structures
- Develop core finance processes, systems, and tools in support of financial and business planning, analysis, and scenario modeling activities
- Monthly financial reporting and forecasting; currently leverage an external accounting firm
- Manage fundraising activities preparation, investor materials, and board updates, in partnership with stakeholders and the executive team
- Oversee procurement and future GPU financing
- Develop and execute treasury management strategy
- Prepare and lead business performance and investor relations presentations in partnership with business stakeholders, combining operational and financial metrics and balancing discussion of future risks and opportunities
- Partner with the executive team on special projects across partnerships, corporate development, and go-to-market operations
- Manage a small team, guiding vision, day-to-day priorities, and career development plans and performance feedback
- Oversee our third-party accounting firm for month-end close responsibilities including accruals and account reconciliations, and completing annual tax filings
Preferred Qualifications
Experience or exposure to early-stage startups is ideal
Benefits
Fully remote role (with some travel required 1-2x a quarter)
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