Accounting & Finance Analyst (NYC or Remote)
Who We Are:
Narmi transforms America’s financial institutions into digital-first institutions. Over the past three years, we’ve grown 100%+ year-over-year, have built and implemented multiple products and have established one of the highest net revenue retention (i.e. how much revenue increases from your existing customer base) metrics in our industry. This means our customers love us and want to buy more products from us.
Our award-winning digital banking and digital account opening platforms have moved millions of dollars and opened thousands of accounts since inception. In fact, the #1 online bank in the country (Radius Bank), leverages Narmi for their entire digital bank. Another Narmi customer - Berkshire Bank - partnered with Narmi to deliver the best customer onboarding program in the country.
Narmi's Co-Founders previously ran a financial institution as CEO and CTO so understand the challenges and needs of the market first-hand. This gives us a unique competitive advantage and heavily influences our product and engineering efforts.
Narmi is seeking an accounting and financial analyst to help establish process-based and high-performing financially-oriented company. You will be responsible for maintaining our books (in a GAAP compliant fashion), managing invoicing / billing schedule, paying vendors, maintaining the company cash flow model, updating projections, and looking after the general financial health of the company. Ideally you love accounting and are obsessed with ensuring the smallest details are correct. Your accounting skills naturally translate to finance skills although this will be an accounting-focused role. Lastly, you won’t be afraid to work cross functionally with teams to develop, maintain, and champion the use of reporting tools to support strategic and tactical decision making.
Responsibilities
- Maintain a fully reconciled, GAAP-compliant version of Narmi’s financials in a timely manner
- Handle both the accounts receivable (invoicing) and accounts payable (vendor payments) functions
- Lead larger projects such as financial audits, sales tax remittance, year-end income taxes and diligence requests
- Update and maintain the company financial model while working with senior management to deliver projections for internal and external purposes
- Process employee expenses and enforce appropriate expense policies
- Work with third-party accountants, auditors and consultants to perform necessary daily, weekly, monthly and annual tasks
Requirements
- 4+ years of experience in accounting and finance in maintaining financials, developing budgets and forecasts and other financial planning responsibilities, preferably in an entrepreneurial environment
- Experience with SaaS based concepts (deferred revenue, prepayments, etc.)
- Understanding of US GAAP, including software and SaaS revenue recognition
- Extreme attention to detail and ensuring everything is done correctly
- Excellence in Microsoft Excel, Powerpoint, Word and high capacity to learn new technology tools (Slack, Wrike, Github, Zenhub, etc.)
- Experience with Xero
- Degree in Accounting or another relevant field
Benefits & Perks
- An extremely intelligent and capable team that you can learn from and contribute to
- Competitive salary
- Robust health benefits packages including access to a 401k and various medical, dental and vision plans, as well as fitness reimbursement
- Work from anywhere perk, student loan assistance and work from home allowance
- Regular company-wide social events
- Full transparency into company metrics, goals and future initiatives
We believe that high-performing teams include people from different backgrounds and experiences who can challenge each other's assumptions with fresh perspectives. To that end, we actively seek a diverse pool of applicants, including those from historically marginalized groups.