Job Description
About Fluent Software Group Fluent Software Group is one of Valsoft's operating groups—a global leader in acquiring and operating vertical market software businesses. We focus on specialized industries where deep expertise creates lasting value. We provide a permanent home for founders and their teams, ensuring companies continue to thrive while gaining access to resources, technology, and operational playbooks that accelerate sustainable growth. The Opportunity We're looking for an experienced Portfolio Finance Director to join the Fluent team and take ownership of financial operations across a portfolio of acquired software companies. Reporting to the Group Head of Finance, you'll lead period-end close, budgeting and forecasting, statutory compliance, and financial reporting for multiple businesses simultaneously. You'll also play a central role in business integrations—helping newly acquired companies adopt Fluent's financial best practices from Day 1. This is a high-impact, high-autonomy role for someone who thrives at the intersection of strategic thinking and hands-on execution. Note : This role is fully remote across North America unless candidates are based in Montreal or Toronto. We work from our local offices on a hybrid basis. What You'll Own Portfolio Management & Financial Planning Monitor and analyze portfolio performance; identify opportunities and build action plans to exceed financial targets. Lead financial planning by analyzing performance and portfolio risks through KPI frameworks. Prepare monthly and quarterly business reviews with results, remediation plans, and strategic recommendations. Build and manage monthly, quarterly, and annual forecasts; maintain KPI tracking. Monitor financial health and ensure positive cash flow across portfolio companies. Develop strategies to improve ROI and profitability. Maintain strong relationships with corporate finance and participate in acquisition and divestiture processes. Serve as the finance lead for new