6 months ago
Full time

Finance Director

6 months ago
Full time


Reporting to our co-founder in charge of Strategy, Finance, Investors Management, our future
Finance Director will have the opportunity to set-up her/his whole Finance team. Working closely
with the top-management of GOAcommerce, the Finance Director will primarily be responsible for
the budgets, forecasts, financial reports to the investors, cash allocation by country, and will
formalize financial processes as well as monitor their execution and adjustments as necessary. This
position will be based in Tunis, but will cover all GOAcommerce group’s need.


  • Accounting and controlling
  • Forecasting and budgeting, Reporting
  • Financing strategy, Business Plans modelisation & Cashflows Management
  • Financial processes
  • Sales administration
  • Cash and liquidity management Relationships with banks
  • Financial compliance and analysis
  • People management


  • Support the business and act as an internal partner: drive periodic Key Performance Indicators (KPIs) reviews with project teams, prepare monthly results to the top-management. Formalize and adapt the definition of accurate KPIs to the changing context. Support accuracy of financial forecast
  • Responsible for the financial reporting for the organization including monthly, quarterly, half-yearly and annual actual analysis, budgeting forecasting. Identify weaknesses and necessary improvements in order to enhance performance. Provide decision-making support analysis for projects, customer transactions and other initiatives
  • Managing controlling in a growth environment and tracking budget and accounting information including but not limited to billing, collection and tax information
  • Managing and overseeing the cash flow of the company and ensuring it has the appropriate treasury controls and optimization
  • Support the management team on Fund Raising
  • Insuring international financial compliance and internal control in a strong growth context
  • Build a solid Finance team
  • Co-supervise closing process and ensure compliance. In charge of overheads: closing & animation of the performance
  • Contribute to elaborating the financing strategy, co-facilitate the relationships with the financing providers

Preferred experience

  • 5-7+ years of experience with a proven record of success. Ideally, 4+ years of experience in audit and/or transaction services (Big 4) and/or in investment banking
  • Ability to lead by example and demonstrate a strong sense of integrity, ethics and dependability
  • Results oriented and metrics driven
  • Excellent time management and ability to solve problems in a timely manner
  • Challenges the status quo, takes initiative and generates breakthrough ideas
  • Advanced computer software skills including Excel, PowerPoint, financial reporting softwares and Enterprise Resource Planning (ERP) systems
  • In-depth understanding of cash flow management, bank reconciliation and bookkeeping
  • Fluent in both written and spoken French and English