Again is seeking a hands-on Finance Manager to own day-to-day finance operations and build a scalable financial backbone for our VC-backed biotech company. This on-site role is based in Munich, Germany, and will oversee treasury, financial planning, accounting, and reporting across multiple entities, working closely with founders, leadership, and external partners.
Finance Operations & Accounting: own accounts payable/receivable, monthly close, coordination with external accountants, review of financial statements, audits, tax and compliance, and ownership of chart of accounts and finance systems. Financial Planning & Cash Management: act as the source of truth on burn, runway, budgets, forecasts, financial models, monitor spend vs. plan and cash flow across entities. Treasury & Banking: manage relationships with banks and payment providers and continuously improve cash management and liquidity strategy. Multi-Entity, SPVs & Transfer Pricing: support financial setup and ongoing reporting for SPVs and project entities and coordinate intercompany and transfer pricing structures with external advisors. Reporting & Stakeholder Communication: prepare internal financial reports and support board, investor, and external reporting. Job Requirements: 3–7 years of experience in finance, finance operations, FP&A, or audit. Experience from a startup/scale-up, VC fund finance team, or consulting/audit firm is highly valued. Comfortable owning processes end-to-end and improving them, motivated to take ownership and grow with the company. Structured, reliable, and
Again is seeking a hands-on Finance Manager to own day-to-day finance operations and build a scalable financial backbone for our VC-backed biotech company. This on-site role is based in Munich, Germany, and will oversee treasury, financial planning, accounting, and reporting across multiple entities, working closely with founders, leadership, and external partners.
Finance Operations & Accounting: own accounts payable/receivable, monthly close, coordination with external accountants, review of financial statements, audits, tax and compliance, and ownership of chart of accounts and finance systems. Financial Planning & Cash Management: act as the source of truth on burn, runway, budgets, forecasts, financial models, monitor spend vs. plan and cash flow across entities. Treasury & Banking: manage relationships with banks and payment providers and continuously improve cash management and liquidity strategy. Multi-Entity, SPVs & Transfer Pricing: support financial setup and ongoing reporting for SPVs and project entities and coordinate intercompany and transfer pricing structures with external advisors. Reporting & Stakeholder Communication: prepare internal financial reports and support board, investor, and external reporting. Job Requirements: 3–7 years of experience in finance, finance operations, FP&A, or audit. Experience from a startup/scale-up, VC fund finance team, or consulting/audit firm is highly valued. Comfortable owning processes end-to-end and improving them, motivated to take ownership and grow with the company. Structured, reliable, and
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