This is a remote position. We’re looking for a detail-oriented Finance Analyst to handle and manage accounts, support cash flow management and financial forecasting on a part-time or project basis. This role is ideal for someone with a strong finance or accounting background who is confident working with numbers and financial systems. Key Responsibilities: Prepare and maintain cash flow forecasts Monitor financial performance and variances Build and update financial models Generate accounting, P&L reports and insights for management Support budgeting and planning processes Assess profit & expenses Manage financial tool / platform keeping records up to date Requirements Requirements: Background in finance, accounting, or a related field Hands-on experience with Xero & Zoho Experience with forecasting tools such as Fathom and Syft is highly preferred Strong analytical and numerical skills High attention to detail and accuracy Ability to work independently and meet deadlines Engagement Type: Part-time or project-based Remote role If you’re experienced in financial forecasting and enjoy working with data to support business decisions, we’d love to hear from you. Benefits Why You’ll Love Working With Us - AU time zone working hours (no graveyard shifts) - We’re a passionate, forward-thinking team (and genuinely good humans) - Growth opportunities as we expand - Supportive culture where initiatives and ideas are celebrated