At Mangopay, our mission is to power the payment infrastructure and payment operations of the world's biggest and most exciting marketplaces & platforms.

We provide marketplaces and platforms with powerful modular payment and regulatory solutions. Since 2013, we have enabled the success of some of the biggest names in e-commerce, retail, and cutting-edge platforms such as Vinted, Rakuten, Chrono24, La Redoute, Wallapop and over 2,500+ more. 

Our team of 400+ is spread across Europe, with offices in Berlin, Dublin, Luxembourg, London, Madrid, Paris, and Warsaw. In an environment where marketplaces and fintech ventures are thriving, we're actively seeking exceptional individuals to tackle the challenges in our field and contribute to our growth. Our commitment to diversity is unwavering, and we are dedicated to promoting employee well-being, inclusivity, and equal opportunities. Joining Mangopay means you’ll be part of a dynamic, flexible, and rapidly growing team.

Job Description

We are looking for an experienced Financial Controller - FP&A to join our organization and be a key player in Mangopay’s growth and success. The position is responsible for leading the financial planning , budgeting , forecasting and analysis activities. The role directly reports to the Head of Fp&A and works directly with senior executives to provide financial insights and recommendations to support strategic decision making.

 

What will you be responsible for?

Leading areas of the business related to:

Financial Planning and Analysis:

  • Develop and manage financial models to support business planning and decision-making processes.
  • Conduct in-depth financial analysis, assess financial performance, and present findings to senior management.

Budgeting and Forecasting:

  • Collaborate with department heads to develop annual budgets and forecasts.
  • Monitor and analyze budget variances, providing recommendations for optimization.

Financial Reporting:

  • Prepare accurate and timely financial reports for internal and external stakeholders.
  • Ensure compliance with regulatory requirements and industry standards.

Cash Flow Management:

  • Manage and optimize cash flow to support daily operations and strategic initiatives.
  • Implement effective cash flow forecasting and liquidity management strategies.

Risk Management:

  • Identify and assess financial risks, proposing mitigation strategies.
  • Stay informed about industry trends and regulatory changes impacting financial operations.

 

What do we expect from you?

  • 5+ years of experience working in finance
  • deep knowledge of accounting standards and financial planning principles
  • extensive experience forecasting and analyzing financials
  • excellent communication skills and the ability to interact with people at all levels of the organization as well as with external stakeholders (especially investors, vendors, and partners)
  • ability to proactively prioritize and effectively deliver on those priorities in an unstructured environment
  • grit and perseverance when solving unfamiliar problems
  • an ownership mindset – the ability to self-manage deliverables and deliver work on time

Additional information:

  • HR phone call
  • 1st Interview with Head of FP&A
  • 2nd interview with CFO

We care about equal employment opportunities, so all qualified applicants will receive equal consideration regardless of their race, colour, religion, sex, sexual orientation, gender perception or identity, national origin, age, marital status, protected veteran status, or disability status.

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