Aug 22, 2024 - Rosie's People is hiring a remote Senior Corporate Finance Manager. đź’¸ Salary: competitive equity package. đź“ŤLocation: UK.
Please note this is an Equity-Only opportunity.
Our client is a cutting-edge technology company specializing in providing scalable, secure, and efficient solutions for cloud computing and data management. We are at the forefront of cybersecurity and compliance innovation, empowering businesses to leverage the latest technological advancements to mitigate risk, optimize operations, and drive growth. They have played a pivotal role in helping to drive digital transformation initiatives for the payments and settlement, fintech, regtech, central banking, e-commerce, insurance, and online government verticals. With a passion for innovation and a demonstrated history of client achievements across multiple jurisdictions, they have embarked on an exciting shift to digital operational resilience and compliance, fuelled by their commitment to technological innovation.
They offer out-of-the-box next-generation security, efficiency, and compliance solutions by combining AI, decentralized ledger technology, and quantum technologies in the Financial Services and Insurance sectors.
No need to hire expensive experts and train models. No need to build new infrastructure. Their suite of unique data-driven products, plug right into your environment to enhance cyber security, reduce fraud, and strengthen operational resilience. They help businesses navigate the ever-evolving cybersecurity landscape with confidence. Leveraging security-first principles, adaptive frameworks, and breakthrough AI/ML and decentralized solutions to empower organizations to thrive in a world of increasing digital threats and increasingly complex regulations.
They are looking for a Senior Corporate Finance Manager (SCFM) reporting to the CFO to manage daily finance treasury operations, finance processes, cash flow forecasting, budget planning & tracking controls, and handle Investor research & reporting.
You will work closely with all departments and units in the business and manage day-to-day finance operations in addition to assisting in fundraising activities, investor relations pitches, roadshows, and other finance duties as required.
A love for number crunching, an eye for details, keen interest in digital-led innovations in a SaaS environment are key, as well as being analytical, a must to excel in this role; if you can spare a few hours each week, this role could be for you.
This is initially an equity-only, 100% remote, part-time role (6-8 hours).
MAIN RESPONSIBILITIES
Manage the day-to-day finance treasury operations, financial analysis, budgeting & forecasting, and investor relations activities of our Client. This position will involve comprehensive financial analysis, strategic planning, and communication with investors. The ideal candidate will have a strong background in corporate finance, exceptional analytical skills, and the ability to articulate the company’s financial performance and strategy to external stakeholders.
- 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.
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 experience from a Startup or high-growth firm.
- 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 modelling, Excel, and financial/tax software/tools. E.g. Xero, QuickBooks
- Experience in corporate tax filing, multi-year financial forecasting and working capital finance planning is an added advantage
- Experience working with senior management and board members.
- Ability to manage multiple projects and meet deadlines in a fast-paced environment.
- High level of integrity, professionalism, and attention to detail.
ESTIMATED HOURS PER WEEK
6-8 hours (flexible).
Compensation On Offer
- Competitive equity package.
- Opportunity to work with cutting-edge AI technologies and innovative solutions.
- Flexible work environment, a remote-first company.
- Career development and growth opportunities.
- Dynamic and collaborative team culture.
- Opportunity to work with talented professionals in a dynamic and growing industry.
- A lot of role autonomy and opportunities for professional growth and development.