CHIEF FINANCIAL OFFICER
RESORTWEAR | ROSEBERY
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A celebration of travel, design and detail drives the brand’s ethos, resulting in dynamic pieces that radiate a sense of quiet confidence—and brand campaigns that give serious travel goals. Designed in bespoke patterns and produced in limited runs, collections are designed to transport the wearer to their dream destination, whether it's a Euro vacay or staycation.
If you’re excited by the idea of working in a small team of passionate creatives where your impact will truly be felt, this could be the brand for you!
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WONDER WARDROBE: Build an adventurous and colourful wardrobe with generous staff discounts and vouchers to spend on product.
SWEET SPOT: Indugle in the (rare) convenience of parking on-site.
TEAM SPIRIT: Work within a collaborative team with an upskilling and team-focused mindset. Peep some of our placements from the last few years on Tik Tok moving into bigger and better roles at all times.
FROM THE HEART: Work for a brand striving for change within a rapidly changing industry, and seek fulfilment from working in a way that aligns with your values. -
Financial Controllers or CFOs with over 6 years of senior-level experience
Must have a background in ecommerce fashion businesses
CA or CPA qualified
Demonstrated expertise in financial planning, risk management, treasury, and compliance
Open to both full-time and part-time opportunities
MANAGING CONSULTANT
Emily Fa’oa, Recruitment Manager
Contact: emily.faoa@reliergroup.com
The Role
As CFO, you will lead the strategic and operational direction of the finance function, overseeing financial planning, risk management, treasury, and compliance. You’ll ensure accurate reporting while supporting decision-making, international growth, and business transformation. Reporting to the General Manager, you'll work closely with internal teams and external partners.
KEY RESPONSIBILITIES:
Lead budgeting, forecasting, and financial planning aligned with company strategy, including international expansion and market entry.
Provide financial analysis and decision support to the executive team.
Drive implementation of financial technologies to enhance performance and scalability.
Manage treasury and cash flow, including working capital, investments, hedging, and FX planning.
Liaise with external advisors across tax, legal, audit, and banking.
Oversee timely and accurate financial statements, board reporting, and compliance with accounting standards, tax obligations, and audits.
Own month-end and year-end close processes.
Strengthen internal controls and financial processes.
Review legal documents and assess financial risk in contracts and partnerships.
Lead and mentor the finance team, fostering a high-performance culture.
Define and manage financial operations, including AP, AR, payroll, and compliance processes.
Develop financial and operational policies aligned with growth and regulatory needs.
Deliver actionable insights through dashboards and reporting tools.
Partner with business units to monitor KPIs and support strategic decisions.
Maintain rolling cash flow forecasts to inform investment and operational planning.