Location: Grand Cayman, Cayman Islands (Remote)
Role Overview
We are seeking a highly organized, flexible and detail-driven Financial Accountant with FP&A experience to support the financial operations, reporting, and strategic planning of a growing consulting and advisory firm operating across corporate finance, entity management, and technology. The successful candidate will be responsible for building and maintaining financial models, managing day-to-day accounting operations, performing reconciliations, and delivering high-quality reporting to support decision-making. This role requires advanced Excel skills, strong analytical thinking, and the ability to work independently in a fast-paced, small-team environment.
Key Responsibilities
Financial Planning & Analysis
- Build and maintain financial models, budgets, forecasts, and rolling projections across multiple entities.
- Perform variance analysis and provide actionable insights to senior leadership.
- Prepare management reporting packs, dashboards, and ad hoc analyses to support strategic planning.
Financial Accounting & Bookkeeping
- Maintain accurate general ledgers and ensure all transactions are recorded timely and accurately.
- Process journal entries, accruals, and adjusting entries in line with accounting standards.
- Support month-end and quarter-end close processes across multiple entities.
Reconciliations
- Prepare monthly balance sheet reconciliations across single-entity and multi-entity structures.
- Investigate and resolve reconciling items promptly.
- Maintain clean, audit-ready supporting schedules and working papers.
Accounts Payable & Accounts Receivable
- Process vendor invoices, maintain AP aging, and manage payment runs.
- Assist with customer billing, receipting, and AR collections.
- Monitor outstanding balances and ensure proper cut-off procedures.
Financial Reporting
- Prepare and maintain working papers and supporting documentation for management accounts.
- Assist with variance analysis, forecasting support, and financial summaries.
- Ensure compliance with relevant accounting standards as applicable to each entity.
Process & Controls
- Support continuous improvement of accounting and financial planning processes.
- Assist in strengthening internal controls around financial reporting and cash management.
- Contribute to developing and maintaining financial policies and procedures as the firm scales.
Skills & Experience
- 2-5 years of experience in FP&A, financial analysis, or accounting/finance roles.
- Advanced Excel proficiency — financial modeling, complex formulas, pivot tables, lookups, and data analysis are essential.
- Strong understanding of bookkeeping, reconciliations, and financial accounting principles.
- Proficiency with accounting systems (QBO, Xero, Netsuite, or similar).
- Strong analytical skills with the ability to translate data into clear, actionable insights.
- Ability to manage multiple priorities and meet deadlines independently.
- Excellent written and verbal communication skills.
- Comfortable working remotely across time zones in a small, fast-moving team.
We're a small team that moves fast, values ownership, and gives you room to grow. If that sounds like your kind of environment — we'd love to hear from you.