About the Role
You will take ownership of the financial infrastructure of a company operating across four countries, with direct visibility to leadership and real influence over how the company scales. You will handle the full accounting cycle, keep the books investor-ready, manage day-to-day finance operations, and coordinate with external partners to keep everything compliant. You'll also help build the financial controls, policies, and tooling that will support the company's growth.
Requirements
- 5+ years in accounting or finance at controller, senior accountant, or accounting manager level
- Strong GAAP and/or IFRS foundation with confidence owning a close independently
- Startup or high-growth tech background with experience building processes from scratch across entities and currencies
- Proficient with modern accounting and ERP systems and strong spreadsheet skills
- Self-directed and dependable in a remote, async, cross-timezone environment
- Precise, organized, and a clear communicator
- CPA or ACCA preferred but not required
- Fluent English and Korean
Responsibilities
- Own the full accounting cycle including month-end close, journal entries, reconciliations, and financial statements
- Manage accounts payable, accounts receivable, payroll coordination, and expense workflows
- Manage cash flow, banking relationships, and treasury operations
- Maintain a clean, auditable general ledger across multiple entities and currencies
- Coordinate external accountants, auditors, and tax advisors across jurisdictions
- Ensure statutory, tax, and regulatory compliance
- Build financial controls, policies, and tooling such as ERP, billing, and expense systems
Benefits
- Unlimited PTO
- Remote-friendly work model