London, South East, England, United Kingdom Hybrid / WFH Options
Talentedge
prominent venture capital firms, the company is at the forefront of developing cutting-edge SaaS technologies. As the Commercial Finance Manager, you will play a pivotal role in driving financial strategy, overseeing financial operations, and ensuring the company's financial health. You will work closely with the executive team, investors, and key stakeholders to provide strategic financial guidance and contribute to the company's growth and success. Key responsibilities to include: Financial Planning: Develop and manage the annual budget, including revenue, expense, and expenditure planning. Lead forecasting efforts to provide a clear picture of future financial performance. FinancialAnalysis: Analyse financial data and KPIs to identify trends, opportunities, and areas for … improvement. Create financial models to support business decisions and evaluate potential scenarios. Management Reporting: Prepare and present regular financial reports to senior leadership and investors. Provide insights on financial performance, risks, and opportunities. Venture Capital Collaboration: Work closely with venture capital partners to provide transparency and address their financial reporting requirements. Ensure alignment between internal financialMore ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Robert Half
are assisting a market leading investment management organisation to recruit a Hotel Asset Manager - UK based We are seeking an experienced Hotel Asset Manager to oversee and optimise the financial and operational performance of our hotel investments across the UK. The ideal candidate will have a strong background in hospitality finance, strategic asset management, and operational improvement within the … to ensure the profitability and long-term success of our portfolio. The candidate will be working is close corporation and under the guidance of a senior asset manager. Role Financial Performance & Analysis The Hotel Asset Manager will monitor and analyse P&L statements, operating budgets, financial forecasts, balance sheets and cash flows for UK-based hotel assets. … organisation and hotel finance team to ensure that credit is only granted to credit worthy companies when required and payment made within agreed credit terms. Prepare and present detailed financial reports and performance analysis to senior management. Track and analyse hotel KPIs (RevPAR, ADR, GOP, NOI, occupancy rates) to identify trends and areas for improvement. Participate and assist More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
SearcHive Limited
for a qualified accountant to gain deep exposure to SaaS business models, PE reporting requirements, and high-growth finance operations in a dynamic technology environment. Key Responsibilities: Management Reporting & Analysis Prepare monthly management accounts including P&L, balance sheet, and cash flow statements Develop and maintain SaaS-specific KPI reporting including ARR, MRR, churn rates, and customer metrics Support … quarterly board reporting and investor updates with detailed variance analysis Create ad-hoc financialanalysis to support strategic decision-making Revenue Recognition & Subscription Accounting Manage complex subscription revenue recognition under IFRS 15 standards Maintain accurate deferred revenue schedules and contract liability tracking Support month-end close process with focus on revenue accuracy and timing Work closely with … Sales Operations on deal structuring and revenue impact Financial Planning & Budgeting Support annual budgeting process across all departments Prepare monthly forecasts with emphasis on recurring revenue predictability Assist with scenario planning and sensitivity analysis for growth investments Monitor departmental spend against budget with detailed variance commentary Business Partnering Partner with Sales, Marketing, and Customer Success teams on commercial More ❯
Haywards Heath, Sussex, United Kingdom Hybrid / WFH Options
First Central Services
were looking for to succeed in the role: Significant experience in Business Consultancy and/or Business Architecture Strong analytical and problem-solving skills Strong anticipatory, statistical and information analysis skills Strong workshop and meeting facilitation skills Experienced at building relationships with and managing internal and external stakeholders Excellent communication and interpersonal skills Able to communicate, influence and persuade … projects Ability to quickly understand the objectives, structures, operations and policies of a business area W hat's involved: You'll support business strategy development, including internal and external analysis, opportunity identification, technology and business cases, and business innovation development You'll collaborate with Enterprise Architects in the definition of target operating models You'll support the definition and … continuous improvement of Business Consultancy & Analysis services You'll ensure the delivery of high-quality business solutions that align with organisational goals. You'll engage business stakeholders to identify business and technology innovation opportunities that enable and drive business strategy and value You'll work closely with Enterprise Architects to construct deliverables that help business leaders identify and make More ❯
Financial Systems Reporting Analyst Salary: £55,000 p.a. Contract: Six months fixed term Department: Finance We are supporting a not-for-profit organisation in the recruitment of a qualified and confident finance professional to join their finance team on a six-month fixed term contract. This role will provide critical analytical support to the Director of Finance on a … project to enhance financial systems, streamline reporting, and strengthen planning analysis. As part of a small, dedicated team of three staff supporting the Director of Finance, the successful candidate will play a key role in eliminating inefficient manual processes, strengthening reporting structures, and improving the quality of financialanalysis that underpins decision-making. The organisation’s finance … module, strengthening monthly reporting outputs, reconciliation controls, and supporting annual budgeting and forward-planning. Support the development of reporting outputs from the CRM system to enable pricing, cost-benefit analysis, and scenario planning for a trading subsidiary. Candidate Profile Qualifications & Training Qualified CCAB accountant with at least 2 years’ post-qualification experience. Skills & Knowledge Strong analytical and critical thinking More ❯
thrives in a dynamic, evolving environment. Key responsibilities include: Supporting budgeting, forecasting and long-range planning cycles. Preparing and delivering insightful investor reporting and board packs. Building and maintaining financial models to support strategic decision-making. Analysing performance across business units, acquisitions and growth initiatives. Partnering with stakeholders across the business to drive commercial outcomes. Supporting M&A activity … with financialanalysis and integration planning where required. About You We’re looking for someone proactive, analytical and commercially astute, who is comfortable working in a fast-paced environment. Essential skills & experience: Qualified accountant (ACA/ACCA/CIMA) or equivalent, with relevant FP&A experience. Previous exposure to investor reporting, management reporting or similar. Strong financialMore ❯
thrives in a dynamic, evolving environment. Key responsibilities include: Supporting budgeting, forecasting and long-range planning cycles. Preparing and delivering insightful investor reporting and board packs. Building and maintaining financial models to support strategic decision-making. Analysing performance across business units, acquisitions and growth initiatives. Partnering with stakeholders across the business to drive commercial outcomes. Supporting M&A activity … with financialanalysis and integration planning where required. About You We’re looking for someone proactive, analytical and commercially astute, who is comfortable working in a fast-paced environment. Essential skills & experience: Qualified accountant (ACA/ACCA/CIMA) or equivalent, with relevant FP&A experience. Previous exposure to investor reporting, management reporting or similar. Strong financialMore ❯
london (city of london), south east england, united kingdom
Simpson Judge
thrives in a dynamic, evolving environment. Key responsibilities include: Supporting budgeting, forecasting and long-range planning cycles. Preparing and delivering insightful investor reporting and board packs. Building and maintaining financial models to support strategic decision-making. Analysing performance across business units, acquisitions and growth initiatives. Partnering with stakeholders across the business to drive commercial outcomes. Supporting M&A activity … with financialanalysis and integration planning where required. About You We’re looking for someone proactive, analytical and commercially astute, who is comfortable working in a fast-paced environment. Essential skills & experience: Qualified accountant (ACA/ACCA/CIMA) or equivalent, with relevant FP&A experience. Previous exposure to investor reporting, management reporting or similar. Strong financialMore ❯
Tunbridge Wells, Kent, England, United Kingdom Hybrid / WFH Options
Vermelo RPO
Location: Tunbridge Wells - Hybrid Reports to: Finance Director Role Purpose We are recruiting an experienced Financial Controller to provide leadership and ensure robust financial control. This role will be responsible for maintaining accurate financial reporting, ensuring compliance with statutory requirements, and supporting the Finance Director with key deliverables while driving operational efficiency across the UK and US … Key Responsibilities Lead month-end and year-end close processes, ensuring timely and accurate reporting for the UK and US entities. Prepare and review monthly management accounts , providing variance analysis against forecast. Oversee statutory and external reporting requirements , including VAT returns, R&D claims, Intrastat, ONS submissions, and audit preparation. Ensure compliance with regulatory frameworks and financial standards … and processes. Strong problem-solving and critical thinking skills. Excellent organisational skills with the ability to work under pressure and meet deadlines. Clear communicator with the ability to explain financial information to non-financial stakeholders . Hands-on and proactive with a results-driven mindset . Skills and Experience Required Qualified Accountant - Ideally from an Audit-trained background More ❯
Weybridge, Surrey, United Kingdom Hybrid / WFH Options
Barclay Meade
home up to 2 days per week. Key Responsibilities: Lead and mentor a team of 4 analysts within the Marketing MSP finance function Evaluate and monitor project profitability and financial performance Analyze complex financial data to guide strategic planning Collaborate with internal departments to resolve sales-related issues Provide forecasting and profit simulation support for strategic initiatives Oversee … accurate and timely billing, cost recognition, and accruals Monitor accounts receivable and payment collections Prepare detailed financial reports for sales, profit planning, and budgeting Support internal audits and ICFR control process reviews Manage customer and vendor contracts from a financial standpoint Required Education, Experience, and Skills: Bachelor's degree in Finance, Accounting, or a related field Minimum … years' experience in a financialanalysis role Proven leadership and team management experience Strong commercial acumen and analytical skills Proficiency in Microsoft Excel and wider MS Office suite Experience with ERP systems (e.g. SAP, Salesforce) preferred Excellent communication and stakeholder engagement skills Benefits: 25 days annual leave Discretionary performance-based bonus Defined contribution pension (up to 4% employee More ❯
highly motivated and experienced Head of Finance to join our client's senior leadership team. This is a pivotal role, overseeing the production of group management accounts and driving financial performance across the business. Key Responsibilities Manage and develop experienced team. Oversee the preparation and delivery of the Group's monthly management accounts. Support the CFO with board reporting … including Accounts Receivable, Accounts Payable, General Ledger, and Revenue Recognition. Monitor cash flow, working capital and liquidity, highlighting risks and opportunities. Play a key role in budget setting, updating financial forecasts and analysing/reporting variances. Ensure compliance with financial policies, controls, and accounting standards. Calculate and monitor key financial and operational KPIs. Provide adhoc financialanalysis and insights to support strategic decision-making. Identify and implement process and system improvements, ensuring scalability and efficiency. Prepare Company Update materials and Board presentations. Support due diligence activities related to investments and M&A opportunities. Skills and qualifications: High proficiency in MS Dynamics and PowerBI would be essential. Experience within a SaaS business is critical, with More ❯
initial 6 months Location: London 2 days per week onsite About the Role We're working with a leading FinTech client who is looking for a highly skilled Senior Financial Analyst (FP&A) to join their European FP&A team. You will play a key role in driving profitable growth across the region. This is a varied role that … combines analytics, financial modelling, business partnering, and strategic insight. You'll work closely with senior leaders and cross-functional stakeholders across Europe, the US, and APAC, providing critical analysis and recommendations that support both short- and long-term goals. What You'll Do Analyse and explain key financial KPIs (TPV, revenue, margin, etc.) across products, regions, and … merchant segments. Deliver accurate weekly, monthly, quarterly, and annual financialanalysis, identifying risks, anomalies, and opportunities. Partner with business and finance teams to design and implement robust financial review frameworks. Provide timely insights to regional senior leadership to support key strategic decision-making. Coordinate with global and regional FP&A teams to ensure consistency of data, messaging More ❯
reporting for all Bell entities, reconciling prior month accruals and the time sheets compliance Prepare month-end journals and balance sheet reconciliations Responsible for intercompany reconciliations, invoices, recharges, and analysis Support inputs into the Annual Operating Budget for CIS Develop, maintain and run financial models for day-to-day operation and perform analysis Existing KPIs data management … experience - ACCA or CIMA qualified Preferable to have worked in a Technology company/Services company Experience of using Navision/Microsoft Dynamics BC an advantage 2-5 years financialanalysis and data trending proven experience Advanced excel skills in financial modelling Ability to work under pressure Ability to work independently and as a team Strong verbal More ❯
Tunbridge Wells, Kent, South East, United Kingdom Hybrid / WFH Options
Gerrard White
a leader in video telematics technology, empowering businesses to improve safety, efficiency, and customer experience. As we continue to scale, we are seeking a Finance Business Partner to provide financial insight and strategic guidance across commercial, operations, customer service, and sales teams. This role is ideal for someone happy to remain hands-on with management accounting duties while also … for a finance professional who thrives in a hands-on environment and enjoys acting as a strategic advisor. The Finance Business Partner will go beyond traditional finance responsibilities, delivering financial clarity, challenging assumptions, and influencing decisions that enhance profitability, efficiency, and customer outcomes. While overseeing core management accounting duties, you will partner closely with business teams to optimise costs … improve margins, and support sustainable growth. Key Responsibilities Core Financial Management & Control Maintain monthly control schedules and post adjustments for accrued/deferred revenue. Analyse Cost of Sales and revenue recognition for accurate reporting. Prepare profitability and margin analysis by customer, product, and channel. Reconcile stock positions and manage provisions for obsolete inventory. Deliver accurate month-end reporting More ❯
Avanti Recruitment is currently working with a PropTech consultancy at the cutting edge of commercial real estate finance. They have an opening for a Financial Analyst to join their team on a permanent basis. The company works 2 days a week in their Central London office. This is a unique opportunity to work on real cash flow models, support … clients in strategic analysis and contribute to the enhancement of a market-leading SaaS product used by banks, insurers and debt funds across the globe. The company is a specialist analytics and software firm supporting global CRE investors and lenders. Their proprietary platform models over $60bn in real estate assets, delivering insights into loan performance, investment risk, and asset … and support data-led decision-making across the firm. What You'll Do Build and maintain detailed Excel cash flow models for CRE assets Manipulate, clean, and interpret large financial datasets Track metrics like IRR, NOI, and simulate exit scenarios Work closely with clients to explain results and deliver insights Collaborate with tech team to shape modelling tools and More ❯
the Engineering Services & Solutions portfolio . This is a key role within the Project Governance function , ensuring the delivery of large-scale infrastructure programmes is aligned to governance standards, financial controls, and PMO best practice. The Infrastructure PMO Analyst will work across bank-wide change initiatives , providing project planning, reporting, financialanalysis, and governance support. You’ll … delivered to the highest standard, in compliance with global Head Office requirements. This role offers an excellent opportunity for an experienced PMO professional with strong infrastructure, project governance, and financial oversight skills to play a critical role in the delivery of high-impact technology transformation. Key Responsibilities Provide planning, reporting, analysis, and administrative support across infrastructure programmes and … Portfolio Leads to maintain oversight of project financials, risks, and resources. Extract and manipulate data from Planview and other PPM tools to support management reporting. Prepare accurate project and financial reports for steering committees and senior stakeholders. Manage project documentation, RAID logs, baselines, and change control processes. Support project governance forums by coordinating materials, capturing minutes, and tracking actions. More ❯
london, south east england, united kingdom Hybrid / WFH Options
Digitail
and billing. As we enter an exciting new chapter of growth and innovation, we’re looking for a Finance Operations Analyst to help us scale and strengthen our internal financial operations as we grow. This is a key cross-functional role that sits at the intersection of finance, ops, and systems — ideal for someone highly analytical, detail-oriented, and … scalable processes in a fast-moving SaaS startup. About the Role As a Finance Operations Analyst , you’ll own, operate, and continuously improve core finance processes like billing, collections, financial reporting, and reconciliation. You’ll work closely with our Finance Lead, CEO, Founder’s Associate, and external accounting partners to ensure timely and accurate financial data that drives … finance operations. Responsibilities Billing & Revenue Operations : Manage end-to-end customer billing, Accounts Receivable follow-ups, and process automation, occasionally coordinating with Customer Success to resolve client billing issues. Financial Reporting & Reconciliation : support monthly reporting, reconciliations with external accountants, and ad hoc financialanalysis & adjustments with leadership. Systems & Process Improvement : Lead scalable tooling and process enhancements across More ❯
london (city of london), south east england, united kingdom Hybrid / WFH Options
Digitail
and billing. As we enter an exciting new chapter of growth and innovation, we’re looking for a Finance Operations Analyst to help us scale and strengthen our internal financial operations as we grow. This is a key cross-functional role that sits at the intersection of finance, ops, and systems — ideal for someone highly analytical, detail-oriented, and … scalable processes in a fast-moving SaaS startup. About the Role As a Finance Operations Analyst , you’ll own, operate, and continuously improve core finance processes like billing, collections, financial reporting, and reconciliation. You’ll work closely with our Finance Lead, CEO, Founder’s Associate, and external accounting partners to ensure timely and accurate financial data that drives … finance operations. Responsibilities Billing & Revenue Operations : Manage end-to-end customer billing, Accounts Receivable follow-ups, and process automation, occasionally coordinating with Customer Success to resolve client billing issues. Financial Reporting & Reconciliation : support monthly reporting, reconciliations with external accountants, and ad hoc financialanalysis & adjustments with leadership. Systems & Process Improvement : Lead scalable tooling and process enhancements across More ❯
slough, south east england, united kingdom Hybrid / WFH Options
Digitail
and billing. As we enter an exciting new chapter of growth and innovation, we’re looking for a Finance Operations Analyst to help us scale and strengthen our internal financial operations as we grow. This is a key cross-functional role that sits at the intersection of finance, ops, and systems — ideal for someone highly analytical, detail-oriented, and … scalable processes in a fast-moving SaaS startup. About the Role As a Finance Operations Analyst , you’ll own, operate, and continuously improve core finance processes like billing, collections, financial reporting, and reconciliation. You’ll work closely with our Finance Lead, CEO, Founder’s Associate, and external accounting partners to ensure timely and accurate financial data that drives … finance operations. Responsibilities Billing & Revenue Operations : Manage end-to-end customer billing, Accounts Receivable follow-ups, and process automation, occasionally coordinating with Customer Success to resolve client billing issues. Financial Reporting & Reconciliation : support monthly reporting, reconciliations with external accountants, and ad hoc financialanalysis & adjustments with leadership. Systems & Process Improvement : Lead scalable tooling and process enhancements across More ❯
counsel to senior stakeholders, shape strategic direction, and drive business-critical decisions across the bank. What You’ll Be Doing Advise Group Executives on strategic challenges and opportunities Develop financial models to support recommendations and transactions Lead market research and peer benchmarking to inform strategy Manage deal structuring, negotiations, and post-transaction integration Collaborate across teams to identify growth … and optimisation initiatives Maintain and build client relationships to uncover new opportunities What We’re Looking For Strong background in data analysis, with excellent mathematical and problem-solving skills. Proficiency in Python and SQL for data extraction, transformation, and analysis. Expertise in data-driven storage solutions and handling large, complex datasets. Good understanding of classical statistics, with the ability … to apply statistical inference and established methods effectively. Strong experience in strategy development, financialanalysis, and stakeholder management Advanced communication and presentation skills Proven ability to manage complex projects and influence senior decision-makers Familiarity with market trends, digital transformation, and risk frameworks Locations: London, Northampton, Manchester or Glasgow Hybrid: 2 days per week in the office This More ❯
Windsor, Berkshire, England, United Kingdom Hybrid / WFH Options
Choralis Consulting
This role plays a critical part in generating both regular and ad-hoc outputs, delivering data-driven insights. Assist with the production of regular ad hoc reports, in-depth analysis of KPIs. Production and distribution of daily/weekly/monthly management information reports, monitor performance and update detailed quarterly forecasts and annual budget.The person:-graduate with strong data … and financialanalysis skills, Immediately available, Power BI experience very desirable, as is strong excel skills, Well organised, comfortable challenging data and numbers that don't right, ability to analyse volume data and derive key numbers and drivers. Perhaps with an Accountancy background or strong understanding of numbers, experienced in Power BI. This role is hybrid working in More ❯
Reigate, Surrey, South East, United Kingdom Hybrid / WFH Options
Opus Business Systems Ltd/T.A.Opus Telecom
communicating a clear and compelling vision and setting aspirations for a high-performance environment. Additionally, you will be responsible for (but not limited to): • Defining, developing, and implementing the financial strategy for the next 3 years • Analysing and reporting on financial performance against budget, forecasted projections and KPIs • Oversee and implement continued improvements to the Financial and … between £20-£100m • Experience Leading a funding round with investors and/or banking institutions, preparing modelling and due diligence • In-depth knowledge of accounting software, corporate principals, and financialanalysis • Experience in C-Suite environment and participating in collaborating and partnering with decision making • Track Record of Leading and Directing a Finance Team • Experience with multiple accounting More ❯
of a global company by an SME agency. Your new role As a Management Accountant, you will be responsible for preparing the management accounts, dealing with the p&l analysis, budgeting and forecasting cycles, process improvements, month-end, business partnering and cost control. What you'll need to succeed Fully qualified ACA/CIMA/ACCA Industry experience (ideally … SAAS, tech, fintech, media, marketing, advertising or equivalent but open at this stage) Experience in financialanalysis, budgeting and forecasting Preparation of management accounts Excel: pivot table/v-look-ups What you'll get in return This is an exciting opportunity for a qualified Accountant to take the step-up in their career in a leading business. More ❯
include:- Take ownership of the company forecasts, including income, cashflow and balance sheet Partner with senior leadership and non finance managers to drive the annual budgeting process Drive KPI analysis to support decision making process across the business Evaluate growth initiatives and build scenario models to identify new opportunities Oversee cashflow planning and treasury operations Contribute to monthly board … packs with precise financialanalysis and performance commentary Provide in depth variance analysis of actual vs forecasts with insightful commentary for the leadership team Ideally you will be a qualified accountant with a strong academic record, strong excel and modelling as well as the ability to liaise and influence at all levels within a company will be More ❯
london, south east england, united kingdom Hybrid / WFH Options
Harrington Starr
and Experience Advanced full-stack development skills (.NET, .NET Core, C#, Python, SQL) and cloud technology experience. Strong leadership experience managing high-performing development teams. Knowledge of banking products, financialanalysis, and regulatory requirements. Experience delivering Agile projects, CI/CD, and DevSecOps solutions. Excellent problem-solving, analytical, and communication skills with global stakeholder engagement. Full, unrestricted right More ❯