CFO (Investment Round & IPO)
We are looking for a skilled and detail-oriented CFO IPO to join our team and lead financial strategy, ensuring full readiness for IPO and strong positioning with investors and platforms in the fast-moving investment and capital markets space.
Responsibilities:
- Financial Strategy and Planning
— Lead the full pre-IPO and IPO cycle — from internal readiness to listing.
— Build financial models, business plan, and rolling forecasts; define capital structure, fundraising targets, use of proceeds, and KPIs. - Financial Management
— Own budgeting, cash flow, treasury, and management reporting.
— Run monthly close and consolidation; prepare board materials. - Work with Investors and Partners
— Produce investor materials — deck, teaser, data room.
— Manage relationships with investors, underwriters, and exchanges; drive pipeline and follow-ups. - Compliance and Regulations
— Coordinate audit, legal, and disclosures to meet listing requirements.
— Ensure compliance with IFRS/GAAP, governance standards, and market rules; handle due diligence responses. - Financial Processes and Automation
— Standardize and automate FP&A and reporting.
— Implement BI and ERP/CRM integrations. - Risk Management
— Identify financial, operational, and regulatory risks.
— Set mitigation plans, controls, and continuous monitoring.