alignment with the CIO and CEO. Experience the agility and long-term perspective of patient capital, free from common external fund management pressures, allowing for true strategic development. Exceptional Financial Rewards & Relocation Package (Tax-Free Dubai): Competitive Tax-Free Base Salary: Base salary of up to 85K AED/month + an annual bonus of up to 100% based … accommodation upon arrival. Innovate with Advanced Tools: Leverage Bloomberg, Barra/Axioma, proprietary quantitative models, and advanced Python-based analytics frameworks to drive sophisticated investment decisions and cutting-edge financial modeling. What You'll Achieve: Architect Strategic Investments: Lead the development of sophisticated investment portfolio strategies across multiple asset classes that drive exceptional returns. Design Risk Management Excellence: Develop … from a top-tier institution in Finance, Mathematics, Physics, or a related quantitative field. Exceptional quantitative capabilities with advanced Excel skills and strong programming proficiency in Python for complex financial modeling. Demonstrated expertise in multi-asset class portfolio management, with a particular focus on equities, credit, and options. Proven track record developing sophisticated risk management frameworks that perform successfully More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Nscale
and environmental responsibility. At Nscale, our FP&A team plays a critical role in driving plays a critical role in driving strategic decision-making, optimizing capital allocation, and ensuring financial sustainability. We thrive on a culture of relentless innovation, ownership, and accountability, where every team member takes pride in their work and drives it with excellence and urgency. As … contributing to building the technology that powers the future. About the Role We are looking for a detail-oriented and analytical Analyst, FP&A and Business Control to support financial planning, analysis, and reporting at Nscale. You’ll be a key contributor in delivering insights that guide business decisions across the company. You’ll work closely with finance and … fast-paced, tech-driven environment and enjoys combining data analysis with real business impact. What You’ll be Doing (Responsibilities) Support the budgeting and forecasting process Build and maintain financial models to support liquidity planning and performance tracking, assist in preparing monthly and quarterly financial reporting packages for internal stakeholders Conduct variance analysis and provide insights into financialMore ❯
City of London, London, United Kingdom Hybrid / WFH Options
SMBC Group
Sprints, and burndown tracking. Proficiency with Atlassian tools such as JIRA and Confluence. Familiarity with source control and release management tools (e.g., Bamboo, Bitbucket, GitHub). Strong numerical and financial acumen, with the ability to interpret financial data and develop financial models. Experience with front office trading systems and a solid understanding of banking products and associated More ❯
Our client is looking for a highly experienced and results-driven Chief Financial Officer (CFO) to join a rapidly expanding IT recruitment firm. As a key member of our executive team, the CFO will play a critical role in driving our financial strategy, managing international teams, and guiding the company through an exit within the next five years. … to join a high-paced, competitive environment, where your expertise in forecasting, budget planning, and international finance will be essential to our continued success. Responsibilities: Develop and execute the financial strategy aligned with the company’s growth objectives and exit plan. Conduct comprehensive financial analysis, identify key growth opportunities, and provide strategic recommendations to support decision-making. Drive … budget planning, forecasting, and financialmodelling to optimize resource allocation and ensure financial stability. Lead and oversee international finance operations, including financial reporting, compliance, tax planning, and treasury management. Ensure adherence to global accounting standards and regulatory requirements across multiple jurisdictions. Collaborate closely with international teams to streamline processes, optimize cash flow, and mitigate financialMore ❯
business requirements Collaborate with cross-functional teams to ensure successful project delivery. Monitor and report on the progress of finance transformation projects About you: Technically you will have: Proficiency financialmodelling, budgeting, and data analysis. Experience with Power Query for automating data transformation. Familiarity with Power BI Knowledge of SQL for working with large datasets. Experience with finance … specific software such as Phinsys and PeopleSoft. Understanding of data governance and data quality tools. About your experience: Ideally you will have experience in Lloyds market transformation/financial reporting. You will have proven experience as a business analyst working on finance transformation projects. You will have strong skills in writing business cases and creating business requirements documents and More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Capacitas
testing skills using HP, LoadRunner or Jmeter Performance test design Performance test automation skills Monitoring, including basic and complex metric understanding, and familiarity with monitoring agents Capacity planning and modelling skills Experience delivering cloud cost optimisation, identifying opportunities for reduced spend Financialmodelling Proven experience of financial numeracy, e.g. calculating savings, working out percentage growth, statistical More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Robert Half
critical facilities to support cloud, AI, and enterprise services. This is an exciting opportunity for a commercially focused FP&A Manager to play a key role in shaping the financial strategy of a fast-moving, capital-intensive business. The Role As FP&A Manager , you will lead budgeting, forecasting, financialmodelling, and performance analysis across the business. … exposure to senior leadership and PE investors, with the opportunity to make a real impact in a scale-up environment. Key Responsibilities Own the budgeting, forecasting, and long-term financial planning processes. Develop and maintain robust financial models to support project evaluation, capacity planning, and scenario analysis. Business partner with project, commercial, and operational teams to challenge assumptions … and support data-driven decisions. Deliver insightful management reporting with clear commentary on performance drivers and risks. Support board and investor reporting with high-quality financial analysis and presentations. Track and report on project costs, capital spend, and cash flow performance. Enhance FP&A systems and processes as the company scales. Contribute to strategic initiatives, including investment appraisal and More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Lorien
with Finance Consolidation project experience to join the team on a hybrid working contract basis with the client site based in London. Systems Experience: OneStream CCH Tagetik Oracle Hyperion Financial Management (HFM) This role operates within the Finance Change Team and is crucial to redevelopment of the OneStream Architecture leveraging the capabilities of the OneStream MI solution, facilitating and … and processes Good numerical skills, confident using IT platforms to solve finance problems, conversant in the language of Finance from detail level up to C suite level Experience of financial reporting requirements; covering either statutory reporting, management reporting, or financial planning Able to operate on own initiative and be self-managing and work remotely Ability to manage diverse … stakeholder relationships across the organisation Work collaboratively with 3rd Party consultants to deliver effective OneStream Financial Models Good personal skills and ability to apply pragmatism and diplomacy when needed Excellent requirements, Epics, User Stories and Acceptance Criteria specification Managing agile product backlogs in scrum Process and requirements modelling Data Modelling of financial data and CUBE/ More ❯
seeking an interim FP&A Manager to join their finance team for an initial 6-month contract, with potential for extension. The successful candidate will support the team through financialmodelling, forecasting, and strategic analysis. Looking for an immediate start. Description The responsibilities of the Temporary FP&A Manager include, but are not limited to: Manage the Group … s budgeting, forecasting and long-range planning cycles. Conduct scenario analysis and modelling to support decision-making and risk management. Support with various ad hoc projects as needed. Provide insightful financial analysis, variance analysis, and reporting to stakeholders. Support on high profile financial planning tasks. Skills The skills of the Temporary FP&A Manager include, but are … not limited to: Proven background in financial planning and analysis, preferably in a SaaS environment or involving KPI tracking, ROI evaluation, and CAPEX/project assessments. ACA, ACCA, CIMA, or an equivalent qualification is desirable. Highly proficient in financialmodelling, forecasting, and conducting in-depth variance analysis, backed by strong analytical capabilities. Skilled in using financialMore ❯
tools best fit for the business. Key Responsibilities: Budgeting & Forecasting - Lead the annual budgeting process, consolidate forecasts and business partner with SLT's/C-Suite stakeholders to ensure financial forecasts are met with targets Strategy & Operation - Advise and create strategy for cost optimisation, revenue growth opportunities and recommend new markets with insights FinancialModelling - Develop and … maintain robust financial models and scenario analysis Financial Analysis - analyse and extract financial data to identify trends and variances to provide insights to C-Suite members Change & Transformation - Drive automation and iidentify new FP&A reporting tools to implement Business Partnering - collaborate with cross-functional teams, cost centres and communicate progress, risks and alerts to senior team More ❯
in the execution and origination of mid-market M&A transactions. You will be instrumental in supporting senior dealmakers across all aspects of the deal lifecycle, including market research, financial analysis, preparation of marketing materials, client interaction, and transaction execution. Key Responsibilities: Support the execution of buy-side and sell-side M&A transactions across a range of sectors … with a particular emphasis on Technology, SaaS, and Fintech. Conduct industry and company research to support deal sourcing and valuation. Develop detailed financial models and valuation analyses, including DCF, comparable companies, and precedent transactions. Prepare client-facing documents such as pitch books, information memoranda, and management presentations. Coordinate and manage the due diligence process, working closely with legal, tax … and financial advisors. Assist in the identification of acquisition targets and potential investors. Help build and maintain relationships with clients, investors, and strategic partners. Key Requirements: Minimum of 3 years’ M&A experience in a mid market or boutique, OR as a current Manager or Senior Manager within an M&A (Lead Advisory) team at a Big 4 or More ❯
drivers & pricing Lead budgeting, forecasting, and business performance reviews Support strategic projects and commercial initiatives What You'll Bring: ACA qualified, ideally from a TS or Deals team Strong financialmodelling, Excel & BI tool experience SaaS/recurring revenue understanding preferred Confident communicator with stakeholder management skills This is a great opportunity for a commercial candidate to join More ❯
years (post undergraduate degree ) of relevant full-time work experience (e.g., Private Equity, Investment Banking (M&A/corporate finance) or other transaction execution roles. Strong foundation in financialmodelling, strong corporate finance understanding, strong excel skills Transaction execution experience in any of digital infrastructure/TMT, industrials, power & utilities or other asset centric sectors Demonstrable interest in More ❯
design patterns. Familiarity with messaging middleware, TCP/IP networking, and large-scale distributed systems. Strong communication skills and ability to collaborate with business stakeholders. Interest or experience in financial products (FX, Derivatives, Options) and familiarity with FIX Protocol, FpML, or similar financial models is a plus. More ❯
and value creation. As FP&A Director, you will be responsible for leading and evolving the group’s planning and performance function; this includes delivering robust budgeting, forecasting, commercial modelling and investor reporting. You will also play a key role in business partnering across departments, ensuring financial data supports effective decision-making at all levels. Key responsibilities include … Leading the budgeting, forecasting and long-range planning cycles across the group Preparing high-quality board and investor reports to PE standards Building and maintaining detailed financial models to support strategic initiatives Supporting the M&A activity, including due diligence, integration and scenario modelling Partnering with the CFO and executive team on strategic planning and business performance Developing … KPI’s and dashboards to drive accountability across the business Managing and developing a high-performing FP&A team Enhancing financial systems and reporting tools to support scalability Key requirements include: ACA, ACCA, CIMA or equivalent Extensive FP&A experience with at least two roles in Private-Equity backed businesses Strong financialmodelling skills, with the ability More ❯
compute solutions. Role Overview: We’re seeking a dynamic FP&A Manager to play a critical role in our growth journey. This is your chance to shape strategy, drive financial performance, and build a best-in-class FP&A function in a scaling, high-impact organization. What You'll Do: As FP&A Manager, you’ll lead budgeting, forecasting … and financial analysis, with a focus on optimizing Kao Data’s capital expenditure of £100m+ annually . Collaborating across teams, you’ll deliver actionable insights, enhance decision-making, and ensure financial compliance while supporting our ambitious growth plan. Key Responsibilities: Financial Planning & Analysis: Lead annual budgets, rolling forecasts, and variance analysis. Build dynamic financial models for … strategic decision-making. Management Reporting: Deliver accurate monthly/quarterly management accounts with meaningful commentary. Analyse and communicate financial risks, trends, and opportunities. Capital Expenditure Oversight: Track and report on project spending, ensuring alignment with budgets and shareholder expectations. Manage loan covenant compliance and reporting for project funding. Business Partnering & Process Improvement: Collaborate with department leaders to influence financialMore ❯
As a Senior Finance Manager, you will be leading on budgeting, forecasting, and board reporting. This Senior Finance Manager role partners closely with commercial and operational teams to deliver financial insights and support growth. Responsibilities include cash flow and management accounts review, audit preparation, payroll oversight, and stakeholder reporting. The role also manages a Finance Assistant and plays a … key part in maintaining strong financial controls and driving process improvements. What you'll need to succeed Qualified Accountant (ACA/CIMA/ACCA or equivalent) Industry experienced beneficial and desired Commercial Analysis Analytical approach Ability to work in a PE-backed and fast-moving business Ability to support with process improvements Strong excel and financialmodelling Self-starter What you'll get in return The role offers high-level ownership across budgeting, forecasting, internal/external reporting, and financial analysis. This is a hands-on position suited to someone detail-focused and confident, engaging across all levels of the business to support strategic growth and drive financial control. You will be given full More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Investigo
outcomes, and making a real impact, this one’s for you. What you’ll be doing: Partnering with key stakeholders to define and track the right KPIs Building slick financial models to support decision-making and planning Turning data into commercial insights that guide strategy and execution Leading on budgets, forecasts, and monthly reporting cycles Supporting monthly business reviews … Challenging the status quo and spotting opportunities to drive value What we’re looking for: Qualified Accountant (ACA/ACCA/CIMA), 2+ years post-qualified Strong analytical and financialmodelling skills Confident communicator who can influence senior stakeholders Comfortable in a fast-paced, high-growth environment Detail-focused but commercially savvy More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Investigo
making, continuously striving to optimise processes and provide actionable insights that drive profitability and business growth. Key Responsibilities: Support the preparation of the annual budget and quarterly forecasts, building financial models covering P&L, balance sheet, and cash flow. Develop and maintain SaaS metrics for reporting such as ARR, MRR, churn etc Business partnering with cross functional teams such … as sales operations to provide insights and financial guidance. Work with departments to create detailed, data-driven business cases for investments, aligning them with business strategy, and supporting the approval process. Maintain and optimize the planning and reporting tool, ensuring it effectively connects business strategy with financial performance. Conduct comprehensive financial analysis across P&L, balance sheet … or fast-paced environments; Bachelor's degree in either Finance, Accounting or a related field; professional certifications (e.g., ACA, ACCA, CFA, CIMA) is advantageous 7+ years of experience in financial analysis/FP&A, preferably in a SaaS, subscription-based, or recurring revenue business; *Please note that due to the volume on applications and interest we will be unable More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Robert Half
you will lead the development and growth of their treasury function. You will be instrumental in building secure, scalable infrastructure, strengthening global banking relationships, and driving operational excellence in financial systems and controls. Key Responsibilities Build and lead end-to-end treasury operations across multiple entities and jurisdictions. Design and manage wallet infrastructure focused on automation, scalability, and security. … liquidity management, payment operations and cash flow visibility. Develop robust internal policies, reporting frameworks, and treasury risk controls. Establish and maintain strong relationships with traditional banks and crypto-native financial institutions. Drive proactive treasury strategy to support business scaling, including structured reporting and financial modelling. Ensure regulatory compliance and audit-ready documentation across global operations. What We're … managing multi-entity structures and international cash operations. Familiarity with offshore entities, global banking ecosystems, and digital asset management. Strategic thinker with hands-on execution skills in designing scalable financial systems. Why Join Us? Base Salary: Up to £120,000 Remote-first Culture Work-from-Home Allowance Private Medical Insurance Growth Opportunity: Be part of a forward-thinking crypto More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Finatal
Interim Financial Controller – PE-Backed SaaS | Strategic Growth Phase Location: London (Hybrid) Day Rate: £550–£600pd (Outside IR35) Duration: 6 months (with potential to extend) Ref: TB006 A fast-scaling, private equity-backed SaaS business is seeking a highly capable Interim Financial Controller to support through a period of transformation, scaling, and strategic review. The company is on … a strong growth trajectory and preparing for increased investor engagement and potential future exit planning. The Opportunity: As Interim Financial Controller, you will play a pivotal role in tightening financial governance, improving reporting, and supporting the CFO with board and investor requirements. You’ll bring a high level of technical capability and commercial insight, with the gravitas to … lead a lean team and business partner across departments. Key Responsibilities: Lead the monthly close process and ensure timely, accurate management reporting Enhance internal controls, financial processes, and reporting infrastructure Prepare board packs, KPIs, and investor-level financial analysis Oversee budgeting, forecasting, and cash flow planning Manage audit and ensure statutory compliance (UK GAAP/IFRS) Support financialMore ❯
City of London, London, United Kingdom Hybrid / WFH Options
Investigo
Financial Controller – High-Growth Tech 📍 Location: London (Hybrid) 💰 Package: £70,000 - £80,000 + Equity We are currently partnering with a high-growth, PE-backed technology business that is transforming a traditional industry through innovation and technology. With a strong executive team and significant investment secured, the business is entering a new phase of strategic growth and is seeking … a commercially astute Financial Controller to join their Finance team. About the Role: Reporting directly to the CFO, the Financial Controller will take full ownership of the finance function. This is a broad and high-impact role, combining technical rigour with commercial responsibility. The ideal candidate will bring experience in fast-paced scale-up environments and will be … confident managing investor reporting, building financial models, and supporting strategic decision-making at board level. Key Responsibilities: Oversee financial reporting, compliance, and the production of board packs Lead forecasting, budgeting, and financialmodelling processes across the business Own cash flow management, working capital forecasting, and scenario planning Partner with leadership on strategic initiatives, pricing, and growth More ❯
a great opportunity for someone who is looking for the next step in their career and continued progression. Key Responsibiliti es: You will have experience building and running complex financial models to support business decision and evaluate different scenarios. Eliminating intercompany transactions to present a true picture of the group's performance. Experience with multi-currency from various regions … around the world. Understand KPI's and report this back to the business to support and improve sales performance. Play a key role in the long term strategic financial planning of the entire group. Assist with any financial due diligence for potential acquisitions. You will need to be very strong analytically and have very strong attention to detail. … You will need the ability to interpret complex financial data and provide actionable insights. Your proficiency in financialmodelling and forecasting marks you as a critical thinker, adept at problem-solving and collaborating with multiple departments. *This role does not offer sponsorship* Group FP&A Analyst | PE backed company | Salary £60,000 - £70,000 + bonus More ❯
of the finance function. There will be lots of business partnering across departments and with executives, providing great visibility. Your role will be primarily to ensure all reporting and financial operations are in order, with an emphasis on crypto payments and wallets. Additionally, some oversight and contributions regarding commercial finance and financial planning are required, helping drive financial transparency and forecasting for the executive team. Budgeting, forecasting, modelling, and cashflow analysis are all a big part of this role. The ideal candidate will be fully qualified and have dedicated Crypto experience within their career. Strong communication skills and the drive to work with ambitious founders is a plus. This role is fully remote. Responsibilities Manage day … crypto) Oversee AP, payroll, intercompany transfers, and Xero reconciliation Act as a commercial partner to founders and senior team Deliver clear monthly reporting, forecasting, and insights Build and maintain financial models across the group Own budgets, forecasts, and performance tracking Monitor fiat and crypto balances across wallets/accounts Model short- and long-term liquidity needs Handle external data More ❯
City of London, London, United Kingdom Hybrid / WFH Options
Harmonic Finance™ | Certified B Corp
of the finance function. There will be lots of business partnering across departments and with executives, providing great visibility. Your role will be primarily to ensure all reporting and financial operations are in order, with an emphasis on crypto payments and wallets. Additionally, some oversight and contributions regarding commercial finance and financial planning are required, helping drive financial transparency and forecasting for the executive team. Budgeting, forecasting, modelling, and cashflow analysis are all a big part of this role. The ideal candidate will be fully qualified and have dedicated Crypto experience within their career. Strong communication skills and the drive to work with ambitious founders is a plus. This role is fully remote. Responsibilities Manage day … crypto) Oversee AP, payroll, intercompany transfers, and Xero reconciliation Act as a commercial partner to founders and senior team Deliver clear monthly reporting, forecasting, and insights Build and maintain financial models across the group Own budgets, forecasts, and performance tracking Monitor fiat and crypto balances across wallets/accounts Model short- and long-term liquidity needs Handle external data More ❯