Job Openings Finance Manager, Sri Lanka

About the job Finance Manager, Sri Lanka

Are you detail-oriented, commercially minded, and ready to help scale a fast-paced SaaS travel tech startup?

Tour Amigo is looking for a Finance Manager to

build and own the operational finance function across Singapore and Australia, ensuring disciplined financial control, real-time visibility, clean reporting, and scalable processes to support growth 5x current revenue.

You will act as the financial control layer of the business, partnering directly with the CEO and external advisors to ensure compliance, accuracy, and commercial clarity.

If you thrive in dynamic environments, like working close to the business, and want to build strong fundamentals in a growing startup, this role is for you.

About Tour Amigo

Tour Amigo is building the future for the $300b Tours, Destination Management, Cruise & Travel ecosystems, redefining the way operators run their businesses.

We are a global B2B AI-driven marketplace, enabling suppliers and resellers to integrate, connect, and promote their products via our market-leading proprietary technology and software. Tour Amigos SaaS platform powers the booking, reservation, and operations systems of travel operators worldwide.

Key Responsibilities

Financial Control & Reporting

  • Own full accounting function across Singapore and Australia entities
  • Lead monthly close with strict timelines and documented controls
  • Prepare monthly management accounts, variance analysis, and executive summaries
  • Maintain clean general ledger, accurate coding, and audit-ready documentation
  • Oversee revenue recognition and cost allocation accuracy
  • Develop and maintain internal financial controls

Cash Flow & Planning

  • Own rolling 12-week cash flow forecast
  • Manage liquidity planning and scenario modelling
  • Track burn rate and runway
  • Monitor working capital efficiency

Budgeting & Commercial Finance

  • Lead annual budgeting process
  • Track budget vs actual performance across departments
  • Partner with leadership on cost control and investment decisions
  • Provide commercial input on pricing, contracts, and vendor agreements

Compliance & Statutory Coordination

  • Prepare GST and BAS working papers
  • Coordinate corporate tax filings across SG, AU, UK with external advisors
  • Support year-end financial statements and audit processes
  • Maintain compliance calendar across jurisdictions
  • Ensure inspection-ready financial records at all times

Operational Finance

  • Oversee AR, AP, and payroll coordination
  • Maintain cap table records and option tracking
  • Prepare investor reporting and board financial packs
  • Improve systems, workflows, and automation within accounting stack

Cross Border Alignment

  • Ensure financial consistency across SG, AU, and UK
  • Coordinate external secretarial and tax providers
  • Act as internal finance point of contact for all jurisdictions

Success Metrics

  • Monthly close completed within defined timeframe
  • Clean audit outcomes with no major adjustments
  • Cash forecast variance within acceptable tolerance
  • Board reporting delivered accurately and on schedule
  • Reduction in reconciliation issues and data errors
  • Improved runway visibility and cost discipline

Profile

  • 5–8+ years experience in accounting or finance
  • Experience in multi-entity or cross-border environment
  • Experience in SaaS or subscription-based business preferred
  • Hands-on operator comfortable executing bookkeeping and thinking strategically
  • Experience working with external auditors and tax advisors
  • Advanced Excel and financial modelling capability
  • Experience with Xero or equivalent cloud accounting tools
  • Comfortable reporting directly to CEO and engaging with investors