via Greenhouse
$70K - 90K a year
Manage finance and accounting operations, oversee banking and accounting relationships, handle corporate finance tasks, and maintain contract and licensing databases.
3-5+ years in finance or operations, strong corporate finance knowledge, organizational skills, proficiency in office software, and willingness to work partially onsite.
About the Role We're seeking a Finance and Operations Manager to manage day-to-day finance and accounting operations, own relationships with key partners (e.g. banks, outside accounting firms), and lead strategic and operational projects. You'll report to the COO and serve as a central point of contact for all finance and operations matters across Dime Line Trading and other Dime Line Holdings entities. Key Responsibilities Accounting and Treasury Manage bank, trading, and other accounts to ensure adequate liquidity and optimize returns on capital Manage payables and receivables platform and oversee client invoicing process, including reconciliations Oversee expense reimbursement platform and respond to employee inquiries Manage accounting firm relationships and work with them to facilitate monthly financial reporting Serve as primary contact for banking relationships Corporate FinanceManage cap table, equity platform (e.g., Carta), and investor communicationsCoordinate periodic valuations and equity-related obligationsDevelop financial projections and performance reportsOversee intercompany transactions and establish framework for intercompany payments to ensure adequate fundingEnsure tax compliance and optimizationContract & Operations ManagementMaintain contract database and proactively manage renewals and key datesAssist with evaluating vendor relationships and identifying potential alternativesBusiness and Gaming Licensing Maintain licensing database and proactively manage renewals and key dates Prepare and submit reports for business and gaming regulatory agencies Qualifications 3-5+ years in finance, operations, or corporate accounting Strong understanding of corporate finance, cash management, and financial reporting Highly organized with ability to manage multiple workstreams independently Comfortable building processes and navigating ambiguity Proficient in Google Workspace and / or Microsoft Office suite; experience with SQL a plus Experience with cap tables and equity management preferred Experience with international entities a plus Must be willing to work ~3 days in office
This job posting was last updated on 12/6/2025