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Finance Manager

TransFICC

London

Remote

GBP 50,000 - 65,000

Full time

25 days ago

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Job summary

An innovative technology service provider is seeking a Finance Manager to join their growing team. This pivotal role involves overseeing financial operations, generating monthly statements, and building financial models. You will report directly to the CFO and play a crucial part in shaping the finance function within a dynamic SaaS environment. The company offers a flexible remote working arrangement, allowing you to thrive in a supportive and growth-oriented atmosphere. If you have a strong background in finance and a passion for driving financial excellence, this is the perfect opportunity for you to make a significant impact.

Benefits

Shares
Flexible working locations
Benefits

Qualifications

  • Proven experience in a high-ownership finance role, ideally in a SaaS start-up.
  • Deep understanding of financial modelling and developing financial processes.

Responsibilities

  • Overseeing month-end and generating monthly financial statements.
  • Building and maintaining financial models and managing budgeting processes.

Skills

Financial Analysis
Cost Analysis
Budgeting
Financial Modelling
Audit Experience

Education

Accountancy Qualification (e.g. ACA, ACCA, CIMA)

Job description

Location: Remote First; office location Moorgate, London (flexible remote working locations within UK/Europe)
Employment type: Permanent
Working Hours: Full-time (UK 9-6) or part-time (TBD)
Salary: dependent on experience up to £65,000 + Shares + Benefits

We provide a low latency, high throughput distributed messaging system to the e-trading Fixed-income markets. We are foremost a technology service provider and support part of our customers' trading infrastructure. Our core products involve API connectivity and GUIs for electronic trading.

As we enter a new phase of growth, we're looking to welcome a Finance Manager - our first in the team! You'll report directly to our CFO and play a pivotal role in shaping our finance function.

The role will involve:

  • Overseeing month-end and generating monthly financial statements.
  • Producing KPI metrics and tracking team performance.
  • Working with the wider team to build business cases, determine pricing and understand costs
  • Building and maintaining financial models.
  • Managing budgeting and forecasting processes.
  • Updating the data warehouse.
  • Owning cash flow and accounts payable/receivable.
  • Supporting international sales tax processes.
To thrive in this role, you will have:
  • Proven experience in a high-ownership finance role, ideally in a SaaS start-up.
  • Accountancy qualification (e.g. ACA, ACCA, CIMA).
  • A background in financial analysis, cost analysis, and budgeting.
  • Deep understanding of financial modelling.
  • Experience in developing and optimising financial processes.
  • Audit experience.
Bonus points if you have:
  • Familiarity with international sales tax.
  • Experience implementing VAT compliance controls.
  • Experience in preparing statutory accounts.
  • EMI scheme management/filing with HMRC.
  • R&D claim experience

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