
51 - 200 employees
đŞ Marketplace
đď¸ eCommerce
Marketplace ⢠eCommerce
Tagvenue is one of the worldâs fastest growing online marketplaces for venue hire, founded in 2015 in London. The company operates in the UK, Ireland, Australia, Canada, Singapore, and the US, providing an easy platform for booking over 16,000 event spaces including restaurants, banquet halls, and more unconventional locations such as churches and gardens. Tagvenue emphasizes a strong product culture, continuous innovation, and a collaborative, empowering work environment.
đĽ 0 minutes ago
đľđą Poland â Remote
âą Part Time
đĄ Mid-level
đ Senior
đ¸ Financial Planning and Analysis (FP&A)
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51 - 200 employees
đŞ Marketplace
đď¸ eCommerce
Marketplace ⢠eCommerce
Tagvenue is one of the worldâs fastest growing online marketplaces for venue hire, founded in 2015 in London. The company operates in the UK, Ireland, Australia, Canada, Singapore, and the US, providing an easy platform for booking over 16,000 event spaces including restaurants, banquet halls, and more unconventional locations such as churches and gardens. Tagvenue emphasizes a strong product culture, continuous innovation, and a collaborative, empowering work environment.
⢠You'll own and sign off, while our finance specialist handles day-to-day execution: Run the monthly close across our UK and Poland entities; protect balance sheet integrity across accruals, deferrals, intercompany and revenue recognition ⢠Make sure statutory reporting obligations are met; coordinate our UK and Poland accountants ⢠Own ledger hygiene: chart of accounts discipline, reconciliation standards and accounting policies ⢠Keep VAT, payroll tax and other statutory payments on time in both markets, backed by compliance checklists and audit trails ⢠Monitor tax-thresholds in Singapore, Australia and US markets and act when necessary ⢠Be able to step in and cover core bookkeeping tasks during absence or rotation ⢠Own forecasting and budgeting (monthly, quarterly and annual) with clear scenarios and assumptions ⢠Produce management accounts and variance analysis across P&L, cash flow and key drivers ⢠Present financial results to the Board; support the founders' relationship with investors ⢠Manage payment rails, FX execution and cash movement across entities; keep cash safe and interest-earning ⢠Drive advisor-backed tax optimisation and manage transfer pricing across the UK and Poland ⢠Identify and execute on cost cutting opportunities ⢠Cut manual finance work through better tooling; build controls like automated reconciliations by design ⢠Manage external accounting teams; maintain the SOPs, calendars and escalation paths that keep execution predictable ⢠Keep the company legally on track across the UK and Poland, managing external lawyers and monitoring regulatory change
⢠You've actually run a close yourself, not just reviewed one someone else prepared. ⢠You can explain how a set of books gets from messy to signed off ⢠You have your own techniques for catching data errors before anyone else does ⢠You've worked across accounting, FP&A and compliance, ideally spanning more than one jurisdiction (UK and Poland experience is a strong plus) ⢠You're energised by modernising finance tooling & processes rather than defending whatever's already in place ⢠Familiarity with tools like Xero, Pleo or similar is a plus, not a requirement ⢠Nice to have: ACCA or CIMA qualification (or working towards one) ⢠Experience in a high-growth scale-up environment
⢠24 paid days off per year & all bank holidays ⢠Birthday day off ⢠Private healthcare ⢠Growth budget for books and courses
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