About the job *Finance Manager - (HR31498G)
Job Title: Finance Manager
Location: Remote (PST Time Zone)
Salary Range: up to 2500 USD
Work Schedule: Monday - Friday, 9:00 AM to 5:00 PM (PST)
NOTE: INDEPENDENT CONTRACTOR POSITION
Company Overview:
Sagan is an exclusive membership community for top executives, founders, and CEOs seeking to hire and maximize the impact of international talent. We bridge the gap between global talent and US-based businesses, connecting candidates from vibrant regions like Latin America, the Philippines, India, Pakistan, Bangladesh, and Africa with leading American companies. Sagan provides a high-performance remote work environment, ensuring access to world-class opportunities for top-tier professionals.
About the Company:
Sagan represents a US-based holding company that acquires and operates high-performing small businesses across various service sectors. They currently manage multiple growing operating companies in the United States, each with its own team and financial structure. The company takes a long-term approach to ownership and is building an efficient, lean operating platform that scales with each acquisition.
Position Overview:
We are seeking a detail-oriented and reliable Finance Manager to manage core finance operations across a portfolio of US-based entities. This is an individual contributor role with hands-on responsibilities across bookkeeping, accounts payable, and accounting for multiple companies.
Key Responsibilities:
Bookkeeping & General Ledger:
- Maintain up-to-date books in QuickBooks Online (QBO) across multiple entities.
- Perform regular bank and credit card reconciliations.
- Record journal entries, accruals, and intercompany transactions.
- Maintain clean and accurate general ledgers for each business.
Accounts Payable (AP):
- Manage AP workflow (Melio preferred but not mandatory).
- Track and process vendor invoices, payment approvals, and disbursements.
- Communicate with internal team members to ensure timely approvals.
- Maintain AP aging reports and assist with cash flow management.
Accounting & Close:
- Support the monthly close process and prepare internal financial statements.
- Generate P&Ls, balance sheets, and cash flow summaries for each company.
- Track prepaid expenses, deferred revenue, and other balance sheet items.
- Ensure books are audit-ready.
Compliance & Coordination:
- Assist with 1099s, sales tax filings, and business licenses.
- Collaborate with external CPAs on tax preparation and filings.
Qualifications:
- 3+ years of experience in bookkeeping or accounting roles.
- Must have experience working with US-based businesses.
- Proficiency with QuickBooks Online (QBO) and Excel/Google Sheets.
- Strong grasp of accounting fundamentals and reconciliation processes.
- Experience with multi-entity bookkeeping is preferred.
- Familiarity with Melio or similar tools (Melio is a plus, but not mandatory).
Nice-to-Haves:
- Background in managing finance for service-based businesses.
- Experience with Fathom for financial analysis.
- Exposure to multi-entity environments or holding companies.
Resume Submission Guidelines:
💡To help us review your application efficiently, please submit your resume in text-based PDF format only.
🔸Avoid uploading scanned documents, image files (JPG/PNG), or Word documents (DOC/DOCX) format to prevent your application from being overlooked.
📍Important: For timely processing, both your resume and introductory video must be submitted in English.