About the job
About Darkroom
Darkroom is a pioneering technology-driven growth marketing firm dedicated to supporting growth-stage consumer companies. Established in 2017, we believe that the leading advertising agencies of the future will be fundamentally different. Darkroom operates as a human services firm, leveraging an advanced AI commerce layer known as Matter. Our unique model integrates seasoned human expertise with a sophisticated technology infrastructure that enhances productivity, efficiency, and revenue generation for our clients.
Our team has successfully driven billions of dollars in traceable revenue across various platforms, including e-commerce marketplaces, direct-to-consumer models, and social commerce initiatives. By utilizing insights from our extensive experience, we fast-track results for our clients through the development of high-impact digital strategies that facilitate revenue growth, refine marketing operations, and emphasize profitability.
What began as a boutique design agency has quickly transformed into one of the fastest-growing private companies in America (Inc. 5000) and has been recognized as one of the most effective results-oriented performance media agencies of the 2020s (Varos). Our founders have also been acknowledged in Forbes 30 Under 30 for their contributions to Marketing & Advertising.
About the Role
We are seeking a Cash Flow Analyst to serve as the operational heartbeat of our financial engine. In this role, you will be responsible for overseeing cash flow management across the organization, ensuring precise monthly closings, maintaining accurate financial records, and collaborating directly with clients to align accounting practices with real-world business operations.
This is a hands-on, execution-focused position situated at the crossroads of accounting operations, client interactions, and cash management. You will take charge of accounts receivable, accounts payable, collections, and ensuring the accuracy of month-end close processes—providing leadership with a clear and reliable perspective on the company’s financial standing.

