Optizon is a $15M multinational e-commerce business behind multiple successful brands sold addition to operating our own brands we provide consultancy services to help other e-commerce companies build and scale their presence on the platform by leveraging our expertise and industry experience.
Our operations span across Australia (IP entity) and the United States (distribution).
Over the past two years revenue has remained stable but rising costs have compressed profitability. As a result we are now focused on strengthening our financial infrastructure to drive greater accountability improve cash discipline and expand margins across the business.
About the Role
We are seeking a commercially minded Financial Controller to lead the operational finance function and work closely with a Fractional CFO to support the companys next phase of financial maturity and growth.
This is not a transactional accounting role. It is a business-critical leadership position that will play a key role in building financial clarity improving decision-making and strengthening operational performance across the organisation.
Why This Role Is Unique
In this role you will:
Become the financial backbone of a scaling international business
Work directly with the founders
Operate in a high-impact strategic environment
Play a key role in rebuilding profitability and strengthening long-term financial performance
Key Responsibilities
Financial Reporting & Analysis
Lead monthly P&L balance sheet and cash flow reporting
Ensure accurate monthly reporting within 5-7 business days of the month-end
Analyse SKU and channel profitability to support strategic decisions
Develop departmental reporting for marketing supply chain and operations
Cash Flow & Financial Planning
Build and manage a rolling 13-week cash flow forecast
Improve forecast accuracy and budgeting discipline
Monitor working capital inventory levels and contribution margins
Financial Controls & Accountability
Implement financial controls and spending discipline
Establish budget vs. actual tracking across departments
Work closely with department heads to drive financial accountability and performance
Team Leadership & Collaboration
Manage and mentor junior finance staff (bookkeeper AP)
Partner closely with the Fractional CFO to execute strategic initiatives
Contribute to financial strategy and operational decision-making
What Success Looks Like (First 6 Months)
Reliable weekly cash visibility
Accurate monthly reporting within 5-7 business days of month-end
Clear margin analysis by product and channel
Budget vs actual discipline embedded across departments
Reduced forecast variance
Improved working capital management
Requirements
Professional Experience
8 years of experience in accounting or finance
Experience in e-commerce retail FMCG or distribution
Strong management accounting and financial analysis background
Experience managing cash flow in inventory-heavy businesses
Technical Skills
Advanced Excel and financial modelling skills
Strong understanding of financial reporting forecasting and budgeting
Experience building cash flow forecasting frameworks
Professional Certification
CA or CPA qualification preferred
Key Attributes
You are:
Commercially minded not just technically strong
Steeped in real world insights not walls of numbers
Comfortable challenging and partnering with department heads
Detail-oriented while still able to think strategically
Highly organised and disciplined
Confident participating in leadership discussions and decision-making
Required Skills:
Professional Experience 8 years of experience in accounting or finance Experience in e-commerce retail FMCG or distribution Strong management accounting and financial analysis background Experience managing cash flow in inventory-heavy businesses Technical Skills Advanced Excel and financial modelling skills Strong understanding of financial reporting forecasting and budgeting Experience building cash flow forecasting frameworks Professional Certification CA or CPA qualification preferred Key Attributes You are: Commercially minded not just technically strong Steeped in real world insights not walls of numbers Comfortable challenging and partnering with department heads Detail-oriented while still able to think strategically Highly organised and disciplined Confident participating in leadership discussions and decision-making
This is a remote position. About Optizon Optizon is a $15M multinational e-commerce business behind multiple successful brands sold addition to operating our own brands we provide consultancy services to help other e-commerce companies build and scale their presence on the platform by leveragin...
This is a remote position.
About Optizon
Optizon is a $15M multinational e-commerce business behind multiple successful brands sold addition to operating our own brands we provide consultancy services to help other e-commerce companies build and scale their presence on the platform by leveraging our expertise and industry experience.
Our operations span across Australia (IP entity) and the United States (distribution).
Over the past two years revenue has remained stable but rising costs have compressed profitability. As a result we are now focused on strengthening our financial infrastructure to drive greater accountability improve cash discipline and expand margins across the business.
About the Role
We are seeking a commercially minded Financial Controller to lead the operational finance function and work closely with a Fractional CFO to support the companys next phase of financial maturity and growth.
This is not a transactional accounting role. It is a business-critical leadership position that will play a key role in building financial clarity improving decision-making and strengthening operational performance across the organisation.
Why This Role Is Unique
In this role you will:
Become the financial backbone of a scaling international business
Work directly with the founders
Operate in a high-impact strategic environment
Play a key role in rebuilding profitability and strengthening long-term financial performance
Key Responsibilities
Financial Reporting & Analysis
Lead monthly P&L balance sheet and cash flow reporting
Ensure accurate monthly reporting within 5-7 business days of the month-end
Analyse SKU and channel profitability to support strategic decisions
Develop departmental reporting for marketing supply chain and operations
Cash Flow & Financial Planning
Build and manage a rolling 13-week cash flow forecast
Improve forecast accuracy and budgeting discipline
Monitor working capital inventory levels and contribution margins
Financial Controls & Accountability
Implement financial controls and spending discipline
Establish budget vs. actual tracking across departments
Work closely with department heads to drive financial accountability and performance
Team Leadership & Collaboration
Manage and mentor junior finance staff (bookkeeper AP)
Partner closely with the Fractional CFO to execute strategic initiatives
Contribute to financial strategy and operational decision-making
What Success Looks Like (First 6 Months)
Reliable weekly cash visibility
Accurate monthly reporting within 5-7 business days of month-end
Clear margin analysis by product and channel
Budget vs actual discipline embedded across departments
Reduced forecast variance
Improved working capital management
Requirements
Professional Experience
8 years of experience in accounting or finance
Experience in e-commerce retail FMCG or distribution
Strong management accounting and financial analysis background
Experience managing cash flow in inventory-heavy businesses
Technical Skills
Advanced Excel and financial modelling skills
Strong understanding of financial reporting forecasting and budgeting
Experience building cash flow forecasting frameworks
Professional Certification
CA or CPA qualification preferred
Key Attributes
You are:
Commercially minded not just technically strong
Steeped in real world insights not walls of numbers
Comfortable challenging and partnering with department heads
Detail-oriented while still able to think strategically
Highly organised and disciplined
Confident participating in leadership discussions and decision-making
Required Skills:
Professional Experience 8 years of experience in accounting or finance Experience in e-commerce retail FMCG or distribution Strong management accounting and financial analysis background Experience managing cash flow in inventory-heavy businesses Technical Skills Advanced Excel and financial modelling skills Strong understanding of financial reporting forecasting and budgeting Experience building cash flow forecasting frameworks Professional Certification CA or CPA qualification preferred Key Attributes You are: Commercially minded not just technically strong Steeped in real world insights not walls of numbers Comfortable challenging and partnering with department heads Detail-oriented while still able to think strategically Highly organised and disciplined Confident participating in leadership discussions and decision-making