About Fever
Fever is the leading global live-entertainment discovery platform that has revolutionised the world of entertainment by allowing millions of users to discover unique experiences and creators to bring new and exciting experiences to life. Through its platform, Fever inspires users to explore the best of their cities, with a diverse range of experiences from immersive exhibitions, interactive theatrical experiences, and to candlelight concerts, while empowering creators with data and technology to create and expand experiences worldwide.
Fever is present in over 100 cities across Europe, America, Asia, and Australia, and has offices in major cities such as New York, Los Angeles, Chicago, London, Paris, Madrid, Barcelona, and Sydney.
About the Role
Fever is seeking an exceptional Finance Manager, Revenue & Cash Flow to join its growing team in New York. Reporting to the Finance Director, the Finance Manager will play a crucial role in overseeing the company’s revenue recognition processes, managing cash flow, and ensuring the accuracy and integrity of financial reporting related to revenue streams.
Responsibilities
- Revenue Recognition: Oversee and manage the accurate recognition of revenue in accordance with GAAP/IFRS. Develop and implement robust revenue recognition policies and procedures.
- Cash Flow Management: Monitor, analyze, and forecast cash inflows and outflows to optimize liquidity and ensure sufficient funds for operations. Implement strategies to improve working capital management.
- Financial Reporting & Analysis: Prepare detailed financial reports, including revenue dashboards, cash flow statements, and variance analyses. Provide insights and recommendations to senior management.
- Budgeting & Forecasting: Collaborate with various departments to develop revenue budgets and cash flow forecasts. Monitor actual performance against budgets and provide explanations for deviations.
- Process Improvement: Continuously evaluate and improve financial processes related to revenue and cash flow, leveraging technology and best practices to enhance efficiency and accuracy.
- Cross-functional Collaboration: Work closely with sales, operations, legal, and accounting teams to ensure seamless execution of revenue-generating activities and accurate financial recording.
- Audit & Compliance: Support internal and external audit processes by providing necessary documentation and explanations related to revenue and cash flow. Ensure compliance with all relevant financial regulations.
Requirements
- Bachelor's degree in Finance, Accounting, or a related field; CPA or MBA preferred.
- 4+ years of progressive experience in finance or accounting roles, with a focus on revenue recognition and cash flow management, ideally within a fast-paced, high-growth environment.
- Strong understanding of GAAP/IFRS revenue recognition principles and financial accounting.
- Proven experience in financial modeling, budgeting, and forecasting.
- Advanced proficiency in Excel and PowerPoint; experience with financial software/ERPs is a plus.
- Excellent analytical, problem-solving, and communication skills.
- Ability to work independently and collaboratively in a dynamic, rapidly evolving environment.
- High attention to detail and a commitment to accuracy.