Finance Manager - Rapid growth International EdTech - Series B scaleup
London
Finance Manager - Rapid growth International EdTech - Series B scaleup
Hybrid, London
£65,000 - £70,000 + benefits
Join this dynamic and fast-growing EdTech scaleup, revolutionising education on an international scale! They are dedicated to leveraging innovative technology to enhance learning experiences worldwide. As they continue their rapid expansion, they are seeking a talented Finance Manager to join their team and play a pivotal role in their journey.
As the Finance Manager, you will be a key member of the finance team, reporting directly to the Finance Director. You will oversee all aspects of financial management, including financial reporting, treasury, and cash flow management. This role offers an exciting opportunity for a qualified ACA professional with in-house experience to contribute to their continued growth and success.
Key Responsibilities:
Manage and oversee day-to-day financial operations, including financial reporting and cashflow management.
Prepare monthly, quarterly, and annual financial statements in accordance with regulatory standards and internal policies.
Lead treasury and cash flow management activities, ensuring optimal liquidity and financial stability.
Collaborate with internal stakeholders to develop and monitor financial plans and budgets, providing insights to support decision-making.
Liaise with external auditors, tax advisors, and regulatory authorities to ensure compliance with financial regulations and reporting requirements.
Drive process improvements and efficiency initiatives within the finance function to enhance productivity and scalability.
Provide strategic financial guidance and support to senior management and other departments as needed.
Stay updated on industry trends, best practices, and regulatory changes relevant to finance and accounting.
Qualifications and Skills:
ACA qualified with relevant post-qualification experience, preferably gained in an in-house finance role.
Strong technical knowledge of accounting principles and financial reporting standards.
Experience in treasury and cash flow management, with a focus on optimising liquidity and mitigating financial risks.
Excellent analytical, problem-solving, and decision-making skills.
Effective communication and interpersonal skills, with the ability to collaborate across teams and influence stakeholders.
Proven ability to work independently, prioritise tasks, and meet deadlines in a fast-paced environment.
Proficiency in financial management software and Microsoft Excel