Join Rosie's People as a Remote Senior Corporate Finance Manager
Date: Aug 22, 2024
Location: Remote (UK)
Salary: Competitive equity package
Please note this is an Equity-Only opportunity.
About Our Client
Our client is a leading technology company specializing in scalable, secure, and efficient cloud computing and data management solutions. They are innovators in cybersecurity and compliance, enabling businesses to use advanced technology for risk mitigation, operational optimization, and growth. The company excels in digital transformation across various sectors including payments and settlement, fintech, regtech, central banking, e-commerce, insurance, and government services. They are driven by a commitment to technological innovation, focusing on digital operational resilience and compliance.
What We Offer
Utilizing AI, decentralized ledger technology, and quantum technologies, our client's next-generation security and compliance solutions are designed for the Financial Services and Insurance sectors. Their unique data-driven products seamlessly integrate into your existing environment to enhance cybersecurity, reduce fraud, and strengthen operational resilience. Their solutions, grounded in security-first principles and adaptive frameworks, empower organizations to thrive amidst increasing digital threats and complex regulations.
About the Role
We are seeking a Senior Corporate Finance Manager reporting to the CFO to oversee daily finance and treasury operations, financial processes, cash flow forecasting, budget planning, tracking controls, and investor research and reporting. This role requires a passion for numbers, a keen eye for detail, and an interest in digital innovation within a SaaS environment. It's a part-time, remote position requiring 6-8 hours per week.
Main Responsibilities
- Financial Analysis and Reporting:
- Conduct detailed financial analysis, including budgeting, forecasting, and variance analysis.
- Prepare and present comprehensive financial reports to senior management and the board of directors.
- Analyze financial statements, key performance indicators (KPIs), and market trends to inform strategic decisions.
- Investor Relations:
- Develop and maintain relationships with investors, analysts, and other key stakeholders.
- Prepare investor presentations, press releases, and other communication materials.
- Coordinate and participate in investor meetings, conference calls, and roadshows.
- Strategic Planning:
- Support the development and execution of the company’s strategic plan.
- Conduct industry and competitor analysis to identify trends, opportunities, and risks.
- Assist in the evaluation of mergers, acquisitions, and other strategic initiatives.
- Capital Markets Activities:
- Monitor capital markets and advise on capital structure and funding strategies.
- Assist in the execution of financing transactions, including debt and equity offerings.
- Ensure compliance with regulatory requirements and disclosure obligations.
- Cross-Functional Collaboration:
- Work closely with finance, legal, communications, and other departments to ensure alignment and effective execution of corporate finance and investor relations activities.
- Provide financial insights and recommendations to support business decisions and strategic initiatives.
- Other ad hoc duties as assigned.
Experience & Skills Required
- Bachelor’s degree in Finance, Accounting, Economics, or a related field; MBA, CPA, or CFA preferred.
- Minimum of 5-7 years of experience in corporate finance, investment banking, investor relations, or FP&A within a startup or high-growth environment.
- Strong understanding of financial statements, corporate finance principles, and capital markets.
- Excellent analytical, quantitative, and problem-solving skills.
- Exceptional written and verbal communication skills, with the ability to present complex information clearly and concisely.
- Proficiency in financial modeling, Excel, and financial/tax software/tools such as Xero and QuickBooks.
- Experience in corporate tax filing, multi-year financial forecasting, and working capital finance planning is a plus.