London, UK - Athens, GR — New York, US

We are looking for an experienced financial controller, to undertake all aspects of financial management, including corporate accounting, regulatory and financial reporting, budget and forecasts preparation, as well as development of internal control policies and procedures for an international high-growth tech start with multiple FORTUNE-100 clients. Join us to enforce finance practises and work in a great team.

Why you should keep reading this page

Here are some of the benefits of joining

  • Join a team of smart and passionate professionals who love their job, and want to keep learning. Say "I don't know" and you will enjoy an intelligent conversation so you can master your profession.
  • You will work on various areas and different problems, learning new skills or extending your knowledge of the ones you already know. There are no boring days here :)
  • Join our London or Athens head-quarters or our highly international team. We have a distributed and remote friendly culture to cover the full spectrum of working from a modern office or remotely.
  • You will be able to own responsibilities and see tasks or even projects through their lifecycle; from conception to design and implementation. Have your ideas heard!
  • We compete on the world stage and so will you. We aim for the top and we offer a competitive salary and strong benefits.

If it sound interesting keep reading


At we believe the future of data processing is real-time. The team shares one goal and that is to deliver enterprise-ready, real-time solutions for the next generation of data-driven applications for all. Our mission is to help companies be data literate and embrace data operations with their streaming data and we do so by providing a platform with an excellent user and data experience; that eases the adoption and leverages existing skill-sets.

Our team has a heavy big data background in many industries, evangelizing technology, open source contributors and book authors; we are innovators. We want to work with highly skilled and passionate people and offer challenging and interesting tasks.

Looking to make a difference?

An amazing moment to join a high-growth tech startup on the ground floor. Enjoy the opportunity for rapid learning and career progression.

What do we look for in a colleague? is a startup. As such some things don't work the same way as in big, established companies. We offer a friendly, fast-paced environment, well suited for people who want to touch and learn many things, are not afraid of context switching and want to go the extra mile. We have fun building things; the same should hold for you. We expect people to be productive since the early days. As scales, the same can happen to your career with us. Please note that despite being a startup and a friendly place, we demand nothing less than professional behavior. Good manners and a positive attitude go a long way.

Finance Role

  • Lead the budgeting and forecasting process
  • Formulating and monitoring strategic business plans
  • Preparation and monitoring of cash flow. Coordination of AR/AP
  • Monthly, quarter and annual group reporting
  • Monitor the finance function regarding internal and external audit requirements
  • Coordinate partnerships and agreements from a finance and legal aspect
  • Alignment of the F&A department with local and global policies
  • Design and monitor Intra-company agreements and transfer pricing rules
  • VAT and EC-Sales list overview
  • Develop business processes / internal controls
  • Support external advisors in the preparation of up date of Statutory books
  • Oversight of control and compliance activities
  • Coordination of internal administrative functions and priorities
  • Accounting standards : US GAAP
  • Reports

  • Monthly management reports
  • Quarter management accounts with comparisons to budgets and containing trading and profit and loss accounts, balance sheets, cash flow statements and forecasts
  • Audited Annual accounts of the Company
  • Detailed operating and capital budget and cash flow forecast (forecasting the revenues, expenses and cash position on a month-to-month basis for the upcoming Financial Year (the “Budget”)
  • Desired Traits

  • Clear communications with higher levels of management and peer group
  • Proper, productive, and aligned working relationship between Finance and business management
  • 5 + years of experience as a Financial Controller
  • Sound judgment of accounting practices
  • Strong analytical skills

  • If you are searching for your next challenging role in a fast paced environment

    join us now