Financial and Cash Flow Specialist (Remote) | Philippines & Sri Lanka
This is the employer's own posting, not a copy on a job board.
What we know
Is it still open?
Confirmed still open
Last checked 23h ago — checked against the employer's own applicant tracking system, which is the company answering directly.
We re-read the employer's own applicant tracking system and the posting was still there. That is the company answering directly.
How old is it?
Posted 21d ago
The date the source published, not the day we noticed it (2026-08-25). Last seen at its source 2h ago.
Is it remote?
Marked remote on the employer's board
Their board carries a remote setting on this posting — a field they filled in, not wording we read. The location field names somewhere specific, which is usually where the team or the entity sits.
Who may apply?
Philippines, Sri Lanka
The description states no restriction of its own. This is the source's own tag.
Pay not stated
Similar roles pay A$1,750–2,250/mo
Middle 50% of 28 listings that do state pay — Finance · all levels · Philippines · AUD/month. This employer has published no salary; this is what comparable listings we hold disclose, never converted between currencies or periods. How this is calculated.
Skills named in the ad
Recognised terms only, from a fixed vocabulary — this is what CV matching compares against.
Carried by 1 source
-
workable employer's own board first seen 11d ago · last seen 2h ago
The listing
Own the cash flow forecast that helps a growing DTC brand make confident decisions, protect runway, and scale sustainably.
About Us
HireHawk is a global talent partner that helps U.S. companies build high-performing remote teams by sourcing, vetting, hiring, and supporting exceptional professionals worldwide. We work with remote-first teams that value clear ownership, strong communication, and reliable delivery. You’ll join a globally distributed community of professionals doing meaningful work from anywhere.
About the Role
Our client is a growing, remote-first company strengthening its finance function to support data-driven planning and sustainable growth. This is a Financial and Cash Flow Specialist role with a strong FP&A focus: cash flow modeling, P&L management, budgeting, forecasting, and scenario planning for an e-commerce / direct-to-consumer business. You’ll translate financial data into practical insights leaders can act on, and you’ll keep models accurate as assumptions change. If you like precision, clean models, and being the person stakeholders trust for “what’s the real impact?”, you’ll do well here.
Responsibilities
- Build and own cash flow, P&L, and budgeting/forecasting models that leadership can rely on for planning and multi-scenario decisions
- Run budgeting and re-forecast cycles, updating assumptions based on actual performance and the drivers behind it (revenue, margin, spend, working capital)
- Own monthly P&L tracking and variance analysis versus budget and forecast, turning results into clear takeaways (not just numbers)
- Develop and maintain short- and long-term cash flow forecasts, flagging risks early and recommending optimization options
- Deliver clear, decision-ready reporting for leadership (insights, trends, and recommended actions)
- Produce ad hoc financial analysis, including sensitivity analysis and what-if modeling to support strategic and operational decisions
- Partner with cross-functional stakeholders so models reflect real commercial and operational drivers (and assumptions stay grounded)
- Improve forecasting accuracy over time by tightening inputs, documenting assumptions, and refining model structure as the business evolves
Requirements
Must-Have:
- Hands-on expertise in FP&A / financial analysis with strong cash flow forecasting, P&L management, budgeting, and forecasting ownership
- Proven experience supporting a US-based,n omni-channel consumer brand across e-commerce, wholesale, Amazon and other sales channels.
- Strong experience building and maintaining complex financial models for planning, forecasting, and scenario analysis (Excel or Google Sheets)
- Track record creating recurring financial reporting and performing variance analysis against budget/forecast with clear explanations
- Experience delivering actionable insights to leadership and cross-functional partners (you can translate finance into decisions)
- Ability to work full-time aligned with U.S. Pacific Time business hours and communicate clearly in English in a fully remote setup
Nice to Have:
- Experience in beauty, consumer goods, or similar inventory-driven e-commerce categories
- Working knowledge of working capital dynamics (inventory planning, payment terms, cash conversion cycle) and how they affect cash runway
- Familiarity with e-commerce data sources and drivers (shop platforms, ad spend, returns, discounts, payment processing fees) and modeling their impact
- Experience improving finance processes as a company grows (standardizing templates, tightening forecast cadence, improving reporting packages)
Benefits
- Remote, full-time role aligned with U.S. business hours (Pacific Time)
- Long-term opportunity with a high-growth US consumer brand.
- Access to a $200k+ perk marketplace with instant discounts on 150+ services
- Access up to 50% of approved earnings before payday (no credit checks or fees)
If you’re the kind of finance professional who treats cash flow accuracy like a competitive advantage, we’d love to see your application.