Sourceability® is a global digital distributor of electronic components transforming how modern businesses bring products to market. With innovation, quality and logistics as the backbone of the company, Sourceability’s cutting-edge products and services expedite the procurement process across a wide range of industries, including communications/cellular, consumer electronics, and auto manufacturing. As we continue to scale globally, we are building a world-class finance function to support our growth. We are seeking an experienced and analytically driven Director of Finance to lead our treasury, international tax, and cash management operations. This hybrid role is based out of our headquarters in Austin, TX. The Role Reporting to the CFO, the Director of Finance will serve as a key member of the finance leadership team, responsible for managing the company's capital resources, optimizing its cost structure, and ensuring financial compliance across all international jurisdictions. This is a high-visibility role with a direct impact on strategic and operational decisions at the company level. Insight on your impact: Treasury & Cash Management Oversee day-to-day treasury operations, including cash positioning, liquidity management, and short-term investment of surplus funds. Develop and maintain cash flow forecasting models to ensure sufficient liquidity across all operating entities. Manage banking relationships, credit facilities, and financing arrangements. Establish and enforce treasury policies, controls, and procedures. Lead initiatives to optimize the company's working capital, including management of trade terms, accounts receivable, accounts payable, and inventory cycles. US and International Tax Coordinate with external advisors and local counsel to ensure compliance with tax obligations across all jurisdictions in which the company operates. Manage the process of filing federal, state, and local tax returns (GST, VAT). Ensure compliance with Internal Revenue Service (IRS) regulations. Monitor deadlines and avoid penalties. Support the annual tax provision process and coordinate with external auditors on tax-related matters. Monitor changes in international tax and trade legislation and assess implications for the business. Manage the company's international tax strategy, including transfer pricing, intercompany arrangements, and cross-border structuring. Identify and implement tax planning opportunities to minimize the company's effective tax rate. Financial Analysis & Cost Management Monitor and analyze the company's cost structure, identify opportunities for efficiency improvements, and cost reduction. Develop and present regular financial analyses, dashboards, and management reports to senior leadership. Partner with business unit leaders to provide financial insights that support strategic planning and operational decision-making. Support the annual budgeting and quarterly forecasting processes. Conduct ad hoc analyses as required by the CFO or executive team.
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Job Type
Full-time
Career Level
Director