Controller at OPen
Dublin, County Dublin, Ireland -
Full Time


Start Date

Immediate

Expiry Date

14 Nov, 25

Salary

0.0

Posted On

15 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

ABOUT &OPEN

The world’s first happiness platform
Our gifting platform sends digital and physical gifts at scale
Clients include Etsy, Snapchat, Revolut and Intercom
Join our growing team

Responsibilities

ABOUT THE ROLE

We are seeking a highly capable Controller to join our finance team on a fixed-term maternity cover contract. In this role, you will take ownership of the company’s core financial operations — from month-end close and management reporting to cash flow oversight and statutory compliance — while partnering with senior leadership to provide actionable insights that support growth.
Reporting directly to the CFO, you will work closely with the Financial Accountant, Accounts Assistants, Commercial Finance Manager, and cross-functional teams across the business. This is an ideal opportunity for a Finance Manager with strong technical accounting skills and business mindset who is ready to step into a broader leadership role, combining day-to-day financial control with business partnering.
You’ll thrive here if you bring a sharp eye for detail, a structured approach to process improvement, and a curiosity for understanding the “why” behind the numbers. In a fast-paced, VC-backed environment, your work will directly influence our ability to scale efficiently and make confident, data-driven decisions to support a growth path to profitability.

WHAT YOU’LL DO?

Financial Control & Compliance

  • Lead day-to-day financial operations, including payroll, invoicing, financial reporting, and oversight of the accounting team.
  • Lead the month-end close process, continuously improving time-to-close while ensuring reporting accuracy and completeness.
  • Own cash flow management, ensuring sufficient liquidity for growth, operations, and compliance purposes.
  • Maintain full oversight of the company’s cash flow statement, P&L, and balance sheet.
  • Support direct and indirect tax processes (VAT, GST, CT, R&D Tax Credit) and ensure timely, accurate submissions.
  • Manage the annual financial audit, liaising with auditors and other external stakeholders to ensure investor-grade reporting.
  • Ensure compliance with all relevant financial regulations and legislation.

Business Partnering

  • Partner with the CFO and department heads to ensure alignment to strategic and operational goals.
  • Prepare and present financial reports to senior leaders, translating variances into clear business drivers and actionable recommendations.
  • Track and analyse key business metrics (e.g., gross margin, working capital) to inform decision-making.
  • Work closely with other teams to connect & control operational data to financial impact and influence decision-making.

Process, Systems & Data

  • Drive key finance initiatives, including process and system improvements, ERP selection and implementation, and automation projects.
  • Enhance financial data integrity and visibility to enable real-time performance tracking.
Loading...