You're seeing this page as if you were . The main menu is still yours, though. Exit from immersion
Tamas GeiszTG

Tamas Geisz

Fractional CFO | Finance Ops Architect | Cash Flow

690 €/día
Valencia, ES
>15 años

Tiempo medio de respuesta: 1h

Acerca de Tamas

Most businesses don't have a cash flow problem. They have a visibility, structure, and finance operations problem: cash flow is where it shows up.

I fix that layer: cash flow management, working capital optimization, AR & collections, treasury, and the financial workflows that make real decision-making possible.

Whether you're a startup managing cash runway, a scale-up with fragmented finance operations, a business under liquidity pressure, or a GBS/SSC environment needing structured EMEA finance operations:

I deliver CFO-level strategy and execution.

𝗪𝗵𝗮𝘁 𝗜 𝗗𝗲𝗹𝗶𝘃𝗲𝗿

◆ Cash flow visibility, forecasting & runway planning


◆ Treasury & liquidity pool management — cash pooling, multi-currency visibility, banking structures, liquidity control


◆ AP/AR & collections — bad debt recovery, large customer portfolio management, KPI reporting frameworks


◆ Finance function build — governance, controls, and scalable finance operations


◆ Supplier & contract negotiation — under pressure and tight deadlines


◆ Investor readiness — financial models, capital planning, fundraising support

𝗦𝗲𝗹𝗲𝗰𝘁𝗲𝗱 𝗥𝗲𝘀𝘂𝗹𝘁𝘀

✅ Recovered 5-year-old written-off receivables at a €227M revenue group

✅ Consolidated 15+ bank accounts into a centralized cash pool, reducing intercompany funding delays by ~30%

✅ Built cash collection framework covering 18,000+ customers from scratch

✅ Resolved a contractual escalation and secured €250K within 24 hours to protect payroll, during acute liquidity pressure


✅ Supported a €250K seed round for an early-stage startup entering retail

Fluent in English, Spanish, German, and Hungarian. Based between Valencia and Budapest, available on-site across Europe. Pan-European background: managed finance operations across 8+ countries from a Swiss SSC, with direct experience navigating business culture across Austria, Benelux, Spain, UK, France, Italy, Germany, and Hungary
  • Inglés

    Bilingüe o nativo

Acepta trabajo presencial
Valencia (hasta 50 km)

Experiencia

  • Finance Freelancer
    Fracional CFO
    noviembre de 2024 - Hoy (1 año y 7 meses)
    Providing senior finance leadership, forecasting, treasury optimization, and CFO-office support to high-growth and transitioning companies.

    Key Achievements

    ✅ Rebuilt financial structure and corrected flawed planning assumptions for an early-stage company, supporting a €250K funding round and enabling launch of its first retail operations (Startups)
    ✅ Established cash collection framework for 18,000+ customers, improving cash flow visibility, reducing delays, and strengthening financial discipline (O.F.SZ.)
    ✅ Negotiated and finalized critical supplier and external collector contracts under tight deadlines, enabling recovery of overdue AR and supporting operational continuity (O.F.SZ.)


    Selected Engagements
    ▪ Finance Operations Leader - O.F.SZ Ltd. (Hungary)

    National payment service provider delivering POS and digital solutions to SMEs. Acted as interim CFO office lead during organizational transition, partnering directly with the CEO.

    Responsabilities

    ▪ Assumed CFO-level responsibilities, leading group-level contract negotiations and ensuring long-term cost stability
    ▪ Implemented finance KPIs and governance frameworks, strengthening team performance and decision-making
    ▪ Led supplier selection and onboarding, establishing strategic partnerships to support growth

    ▪ Startup Finance Consultant - Multiple early- and growth-stage companies

    Responsabilities

    ▪ Designed and implemented cash flow strategies, runway analysis, and investor reporting
    ▪ Built financial models and capital plans to support fundraising and scaling decisions
    Negotiation KPI setting SME valuation Investor Readiness Financial Modelling
  • Vajda Paper Group
    Finance Manager
    INDUSTRIA DE LAS MATERIAS PRIMAS
    agosto de 2023 - octubre de 2024 (1 año y 2 meses)
    Budapest, Hungría
    Prominent player in the Hungarian paper industry, generating €227M in revenue in FY23 and employing nearly 500 people. As Finance split from Accounting, worked closely with the CEO.

    Key Achievements

    ✅ Developed a €2M weekly purchasing forecast for strategic cellulose deals, ensuring supply continuity at optimal pricing, minimizing FX exposure, and managing procurement in a volatile market
    ✅ Streamlined treasury operations by consolidating 15+ bank accounts into a centralized cash pool, enabling timely multi-currency transfers and reducing intercompany funding delays by ~30%
    ✅ Designed and implemented the company’s first structured cash collection process, recovering 5-year-old receivables previously written off, improving cash flow and reducing risk exposure
    ✅ Standardized financial data and reporting by introducing structured documentation, AR aging visibility, and database updates, creating a foundation for analytics and AI-supported forecasting
    ✅ Established a centralized team communication framework, replacing fragmented individual email usage, improving accountability, ensuring continuity during absences, and eliminating missed requests in a high-volume environment

    Responsibilities

    ▪ Directed AP, AR, Billing, treasury operations; led liquidity, cash-flow planning, managed corporate loan & factoring structures to maintain stability and optimize working capital
    ▪ Led and improved all financial processes, introducing new methods, strengthening controls, and reducing manual workload across the department
    ▪ Identified operational inefficiencies, implemented cost-saving initiatives that improved productivity, reduced manual steps, and enhanced financial accuracy
    ▪ Implemented an early-payment discount system, optimized banking transactions, generating additional savings ~€128K annually, and improving payment discipline
    ▪ Contributed to the company’s digitalization by supporting DMS implementation and developing Power BI tools to monitor billing and process flow
    Cash-Flow Management Finance Function Build & Leadership Cost Reduction & Operational Efficiency Treasury Management AR Process Setup & Bad Debt Recovery
  • Career Break
    Professional Development & International Transition Period
    julio de 2022 - agosto de 2023 (1 año y 1 mes)
    • Focused on advanced finance development to further strengthen CFO-level capabilities and broaden strategic toolkit
    • Spent time across Europe focused on travel, family, and language development, reinforcing cultural awareness and strengthening Spanish, English, and German proficiency in a business context
    • Returned to senior finance roles with renewed focus and delivered high-impact contributions in cash flow optimization, liquidity management, and financial transformation
    Languages Digital Skills

Recomendaciones

Sé el primero en recomendar a Tamas

Ayuda a este freelance a destacar compartiendo tu experiencia.

Estos perfiles de freelance también coinciden con tus criterios

AgathaA

Agatha Frydrych

Backend Java Software Engineer

4.7

(3)

2

BaptisteB

Baptiste Duhen

Fullstack developer

4.6

(4)

5

AmedA

Amed Hamou

Senior Lead Developer

4

(2)

7

AudreyA

Audrey Champion

Web developer

4.3

(3)

4

Categorías