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Job opportunities in our portfolio companies

Group Chief Financial Officer (Group CFO)

FlexCar

FlexCar

Accounting & Finance
Athens, Greece
Posted on Jan 14, 2025

FlexCar is growing rapidly and we are looking for a Group Chief Financial Officer (Group CFO) to join our premises in Athens, Greece.

Who We Are

FlexCar is more than a car leasing company. We redefine the way consumers own a car by offering flexible and accessible terms and an all inclusive premium service. Our aim is to elevate the car leasing field and pave the way for the future of mobility in Greece, Italy, Cyprus, Mexico and across the globe.

People at FlexCar

We are constantly looking for curious and ambitious minds that are eager to be part of an exciting journey and a very strong professional team, so if you are ready to kick off your career at one of the most promising European start-ups, join us!

Position Summary

The Group Chief Financial Officer (Group CFO) will be responsible for driving the financial strategy of the organization, managing capital allocation, ensuring compliance, and maintaining robust financial operations. This position will play a key role in supporting the company’s long-term strategic goals and will act as a primary representative to stakeholders and the investment community.

As a Group Chief Financial Officer (Group CFO) you will :

  • Develop and implement the company’s financial strategy, ensuring alignment with corporate objectives and growth plans. Oversee the capital structure, balance sheet management, and long-term financial planning to support large-scale initiatives.
  • Manage the capital allocation process to maximize value creation and optimize the company’s current and future investment portfolio.
  • Supervise and manage the accounting, taxation and treasury teams to ensure accurate financial reporting, compliance with regulatory requirements, and effective financial operations.
  • Develop and maintain strong relationships with investors, banks, and financial institutions. Lead capital-raising efforts, including debt, equity, and alternative financing mechanisms, while serving as a key representative of the company to stakeholders and the investment community.
  • Ensure the establishment and maintenance of robust internal controls and compliance frameworks to mitigate financial risks and ensure adherence to all relevant regulatory requirements.
  • Supervise the budgeting, forecasting, and financial modeling processes, ensuring timely and accurate reporting. Analyze financial performance and market trends to identify opportunities and risks, providing actionable insights and recommendations to the CEO and Board.