Head of Finance at InvestorHub
Melbourne VIC 3000, Victoria, Australia -
Full Time


Start Date

Immediate

Expiry Date

11 Jul, 25

Salary

0.0

Posted On

11 Apr, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

DESCRIPTION

InvestorHub is a fast-growing global tech startup changing the way public companies connect with their investors. With offices in Melbourne and London, we’re backed by the Victorian Government’s 30x30 program and recognised as a “potential unicorn.” Since expanding to London in 2023, we’ve grown quickly, working with over 140 clients globally to improve investor engagement. Our team is made up of people from 12 countries, bringing different perspectives and a shared drive to build something meaningful. We keep things simple, focus on what matters, and believe in learning as we grow.
Retail (individual) investors are more important than ever, yet many public companies struggle to connect with them. Traditional investor relations focus on institutions, leaving everyday investors overlooked. InvestorHub gives companies the tools to engage directly with their shareholders, improving communication, transparency, and trust in the market.
We’re looking for an experienced finance leader to build and scale our financial operations as we grow. This is a hands on role requiring both financial expertise and strategic thinking. You’ll manage financial reporting, budgeting, forecasting, compliance, and cash flow, ensuring our financial systems support InvestorHub’s global expansion.
You are an experienced finance leader with a strong track record in scaling B2B SaaS businesses. You understand how to build and manage financial systems that support high growth companies while ensuring compliance, accuracy, and efficiency.
You thrive in a fast paced environment, balancing hands on financial operations with strategic decision making. You enjoy working closely with founders, investors, and cross-functional teams to drive sustainable growth.
You have a deep understanding of SaaS metrics, revenue recognition (ASC 606), financial forecasting, and cash flow management. Experience with investor relations and fundraising is a plus.

You’re proactive, adaptable, and comfortable making decisions with imperfect information. You don’t just identify problems, you solve them!

  • You prefer rigid corporate structures and predefined processes. This is a high growth startup where things move fast!
  • You need a large finance team to delegate tasks to right now, as this is a hands on leadership role.
  • You’re not comfortable with ambiguity, as growth stage companies require agility and creative problem solving.
Responsibilities
  • Financial Modelling: be extremely capable at building maintainable models that reflect the complexities of our business to inform key strategic decisions.
  • Financial Reporting: Prepare and present monthly, quarterly, and annual financial statements. Ensure timely and accurate reporting to executive leadership and stakeholders.
  • Budgeting & Forecasting: Lead the annual budgeting process and ongoing forecasting. Analyse financial performance and provide insights into revenue, expenses, and cash flow.
  • Financial Analysis: Conduct in-depth variance analysis and financial modelling to support decision-making. Provide actionable recommendations to enhance profitability and efficiency.
  • Payroll Management: Oversee payroll processes to ensure accurate and timely employee compensation. Ensure compliance with relevant payroll regulations and reporting requirements.
  • Cash Flow Management: Monitor cash flow to ensure sufficient liquidity for operations. Develop cash flow projections and manage working capital.
  • Compliance & Audit: Ensure adherence to financial regulations and standards. Coordinate and manage external audits, providing necessary documentation and support.
  • Tax Compliance & Strategy: Oversee tax compliance and strategy, including cross-border tax work and transfer pricing. Ensure timely tax filings and identify opportunities for tax optimisation.
  • Gain a deep understanding of our financial structure, revenue model, and key SaaS metrics.
  • Refine financial reporting processes, ensuring clear visibility into cash flow, forecasting, and unit economics.
  • Identify key financial risks and opportunities, working closely with leadership to align financial strategy with business goals.
  • Implement scalable financial systems and controls that support InvestorHub’s growth.
  • Refine budgeting, forecasting, and revenue recognition processes to improve accuracy and decision-making.
  • Be actively involved in investor relations, board reporting, and potential fundraising efforts.
  • Play a key strategic role in shaping InvestorHub’s financial strategy as we scale globally.
  • Build and lead a high-performing finance team, ensuring the company remains financially strong and compliant.
  • Drive capital raises, acquisitions, or expansion initiatives.
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