Finance Business Partner job opportunity at Valsoft Corporation.



Date2026-03-20T14:32:45.734Z bot
Valsoft Corporation Finance Business Partner
Experience: 3-years
Pattern: Full-time
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Canada
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Valsoft's TAG Software Group is looking for an experienced and dynamic Financial Business Partner to support our Companies in a remote or hybrid role. About Tag Software Group TAG Software Group is a team of experienced investors and operators dedicated to acquiring, enhancing, and growing mission-critical software companies serving SMB, enterprise, and public sector customers. Founded as part of Valsoft Corporation, TAG provides a permanent home for software companies, we don’t buy to sell. Our focus is on long-term partnerships that protect your legacy, employees, and customers. Our in-house team delivers an efficient, transparent, and seller-friendly process, ensuring speed and certainty of close. Once part of TAG, your company gains access to proven best practices, dedicated value-creation resources, and the extended ecosystem of our sister companies, including proprietary in-house technology including ValPay and Sadie AI helping your business reach the next level. Culture Tag Software Group is more than just a place to work; we’re a team. We mean it when we say people are our greatest assets, so investing in them is our number one priority. We create an environment where our employees feel first-day-on-the-job excitement, day after day, creating a culture of high performers and collaboration. We celebrate our milestones, and we’re proud of them. We Dream Big, Stay Humble, and Stay Hungry. POSITION DESCRIPTION: As a Finance Business Partner you will be responsible for overseeing all financial operations, including budgeting, forecasting, financial planning, and analysis of the Companies within your group. You will also play a key role in the financial integration of newly acquired businesses. You will be part of a portfolio with a team of Finance Business Partners each with their own group. You will be reporting to the Finance Controller – Portfolio. This portfolio has a global presence. Key Responsibilities: Responsible for Financial Functions and Daily Accounting Operations : Manage accounts payable, accounts receivable, and general ledger activities to ensure accurate and timely financial transactions and records. Collaborate the Portfolio Finance Team : Work closely with the Financial Controller to recruit, train, and develop the accounting team, ensuring high standards in financial management. Prepare and Present Financial Statements : Generate monthly financial reports, analyse data, and provide ad hoc financial insights to support informed decision-making. Develop Budgets and Forecasts : In collaboration with the group’s Managing Director, develop and maintain financial budgets and forecasts, providing insights and ensuring alignment with corporate objectives. Monitor Free Cash Flow : Manage cash flow to ensure liquidity, optimize the cash cycle, and enhance free cash-flow. Improve Financial Processes : In collaboration with the Financial Controller – Portfolio, conduct assessments, identify gaps and opportunities for automation, make recommendations, and assist in implementing changes to improve financial systems and processes. Support Operational Improvements : Collaborate with Managing Directors to assess and implement operational improvements. Ensure Tax Compliance : Assist in tax optimization reviews; manage tax filing processes, handle audits, and ensure compliance with all relevant accounting and tax regulations. Maintain Financial Controls : Implement and uphold internal financial controls that secure our growth. Integration support: Financial Integration: Assist in financial integration activities, including ERP system implementation, account mapping, and rollout of reporting requirements and governance standards. Monitor Integration Success: Deploy the monthly reporting cadence, reviewing deliverables for data integrity, quality, and accuracy. Manage transition financial risk: At Acquisition : Identify discrepancies between acquired company accounting policies and Valsoft corporate policies, with the Finance Controller – Portfolio remediate discrepancies and implement go-forward reporting processes. Post-Acquisition Support: Support the forecasting of the first-year bottoms-up forecast in partnership with the acquired business. Acquisition Accounting : Assist in preparing the purchase price allocations and ensure completeness and accuracy of opening balance sheet accounting . REQUIRED/MINIMUM QUALIFICATIONS: Qualifications: A qualified financial accountant (CPA) with a solid track record of results driven accomplishments. Experience: 3+ years of experience in a similar role and having managed at a minimum one ERP integration. Knowledge strong of financial regulations and standards and advanced knowledge of Excel. Skills: Excellent analytical, strategic thinking, and problem-solving skills. Proven ability to manage and develop high-performing teams. Exceptional communication and interpersonal skills. Technical Proficiency: Proficiency in financial software and tools, including ERP systems. Advanced knowledge of MS Excel. Language: Fluent in both French and English, both written and verbal is considered an asset. Environment: Ability to work in a fast-paced, dynamic environment and manage multiple priorities.

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