Financial Controller - SAAS - Leading Software House - BEDFORD.
other jobs Tribus Consulting Ltd
Added before 4 Days
- England,East of England,Bedfordshire
- full-time
- £70,000 - £90,000 per annum
Job Description:
My client is a leading and exciting Cambridge-based SAAS company looking for a Qualified Financial Controller.
The business is led by a highly ambitious and bright senior leadership team with previous experience successfully scaling SMEs. Their working culture is centered around empowerment, ownership and accountability therefore you’ll be trusted to work autonomously where needed with support from the wider Operations team.
Based out of their vibrant central Cambridge office with the option for hybrid working, you’ll be joining a dynamic growth environment surrounded by a team of smart and passionate people who are excited by the opportunity for growth both personally and professionally as they aim to build the next SaaS success story.
Summary of role:
This is an incredible opportunity for an ambitious, qualified accountant to join a company at an exciting point in their development. The role will be supporting the CEO / COO in an all-around finance role, looking at both commercial and technical aspects and allowing the successful individual to add significant value to a successful Tech SME.
The Finance Manager will be responsible for managing the daily financial operations of the company and will play a key role in strategic financial planning. Reporting directly to an exceptional portfolio CFO, the Finance Manager will ensure the integrity of financial reporting, optimise financial processes, and support the business’s growth.
Responsibilities will include:
Financial Management: Oversee all daily financial operations, including accounts payable, accounts receivable, payroll, and general ledger management.
Financial Reporting: Prepare and present accurate and timely financial statements, ensuring compliance with accounting standards and regulatory requirements.
Budgeting and Forecasting: Support the budgeting and forecasting processes. Develop financial models to support business planning and decision-making.
Cash Flow Management: Monitor and manage cash flow to ensure financial stability and support for ongoing growth initiatives.
Internal Controls: Develop and implement robust internal control systems to safeguard assets and ensure financial integrity.
Compliance: Ensure compliance with all financial regulations and reporting requirements.
Strategic Planning: Provide financial insights and recommendations to support strategic business decisions. Work closely with the CEO on long-term financial planning.
Requirements:
Strong financial management and reporting skills.
Proficiency in budgeting, forecasting, and financial modelling.
Advanced Excel skills and familiarity with financial software and ERP systems.
Excellent analytical and problem-solving abilities.
Strong knowledge of accounting standards and regulatory requirements.
Exceptional communication and stakeholder management skills.
The business is led by a highly ambitious and bright senior leadership team with previous experience successfully scaling SMEs. Their working culture is centered around empowerment, ownership and accountability therefore you’ll be trusted to work autonomously where needed with support from the wider Operations team.
Based out of their vibrant central Cambridge office with the option for hybrid working, you’ll be joining a dynamic growth environment surrounded by a team of smart and passionate people who are excited by the opportunity for growth both personally and professionally as they aim to build the next SaaS success story.
Summary of role:
This is an incredible opportunity for an ambitious, qualified accountant to join a company at an exciting point in their development. The role will be supporting the CEO / COO in an all-around finance role, looking at both commercial and technical aspects and allowing the successful individual to add significant value to a successful Tech SME.
The Finance Manager will be responsible for managing the daily financial operations of the company and will play a key role in strategic financial planning. Reporting directly to an exceptional portfolio CFO, the Finance Manager will ensure the integrity of financial reporting, optimise financial processes, and support the business’s growth.
Responsibilities will include:
Financial Management: Oversee all daily financial operations, including accounts payable, accounts receivable, payroll, and general ledger management.
Financial Reporting: Prepare and present accurate and timely financial statements, ensuring compliance with accounting standards and regulatory requirements.
Budgeting and Forecasting: Support the budgeting and forecasting processes. Develop financial models to support business planning and decision-making.
Cash Flow Management: Monitor and manage cash flow to ensure financial stability and support for ongoing growth initiatives.
Internal Controls: Develop and implement robust internal control systems to safeguard assets and ensure financial integrity.
Compliance: Ensure compliance with all financial regulations and reporting requirements.
Strategic Planning: Provide financial insights and recommendations to support strategic business decisions. Work closely with the CEO on long-term financial planning.
Requirements:
Strong financial management and reporting skills.
Proficiency in budgeting, forecasting, and financial modelling.
Advanced Excel skills and familiarity with financial software and ERP systems.
Excellent analytical and problem-solving abilities.
Strong knowledge of accounting standards and regulatory requirements.
Exceptional communication and stakeholder management skills.
Job number 1626401