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 Accounts Receivable Management Ensure all partners and clients fulfill payment obligations promptly. Implement and enforce systems to monitor and follow up on outstanding payments. Strategic Financial Initiatives Collaborate with the CEO to design and execute financial structuring projects to support business growth and efficiency. Analyze the financial performance of new and existing initiatives and provide actionable insights. Team Leadership Lead and manage a team of bookkeepers, financial transaction checkers, and other finance team members. Provide mentorship, training, and performance evaluations to ensure a high-performing team. Stakeholder Communication Act as the primary financial liaison with internal and external stakeholders, ensuring smooth operations and financial alignment. Provide regular financial updates and reports to stakeholders and leadership. Discrepancy Resolution Identify discrepancies in financial transactions, records, and reports. Work cross-functionally with departments to resolve discrepancies and implement preventive measures. Financial Reporting and Compliance Oversee the preparation of accurate financial statements and reports. Ensure compliance with local regulations, tax requirements, and company policies. Projections and Cash Flow Management Develop financial projections, cash flow analyses, and forecasting models to guide strategic planning. Monitor and optimize cash flow to ensure liquidity and operational efficiency. Identify trends and potential risks to support informed decision-making. Requirements Experience: 3 years of experience in financial management or related roles. Proven track record in accounts receivable, financial analysis, and team leadership. Skills: Proficiency in accounting software and financial tools. Strong analytical and problem-solving abilities. Excellent communication and interpersonal skills. Detail-oriented with a strong sense of accountability. Education: Bachelor’s degree in Finance, Accounting, or a related field (CPA is a plus). What We Offer: Competitive salary and benefits package. Opportunities for career growth within a fast-expanding company. Training and support to help you excel in your role. A collaborative, inclusive work environment.