Finance Manager at HyperGrowth Recruitment
London, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

18 Oct, 26

Salary

0.0

Posted On

20 Jul, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Modelling, Cash Flow Forecasting, Treasury Management, VAT Returns, Statutory Reporting, Investor Reporting, Bookkeeping, Financial Analysis, Commercial Insight, Financial Governance, Audit Management, Subscription Ecommerce

Industry

Staffing and Recruiting

Description
Finance Manager – Reformed Rewarding Salary + Benefits Full Time UK Based The Role We're looking for a commercially minded Finance Manager to take ownership of Reformed's day-to-day finance function. You'll ensure the business has accurate financial information, robust reporting and strong financial controls to support continued growth. This is a broad, hands-on role that combines operational finance with commercial insight. You'll be the key contact for external accountants, maintain the financial model, oversee treasury and cash flow, and ensure reporting is delivered accurately and on time. Working closely with the leadership team, you'll play a critical role in providing the financial visibility needed to make confident business decisions as Reformed continues to scale. What you'll do: As Finance Manager, you'll oversee the day-to-day financial operations of the business while ensuring robust reporting, forecasting and financial governance. Your responsibilities will include: Managing the day-to-day relationship with external accountants and auditors, ensuring all information requests, deliverables and deadlines are met. Preparing monthly and quarterly investor reporting, including board pack inputs and financial commentary. Communicating and reporting with VC investors, preparing regular financial updates, board reporting and responding to information requests in a timely manner. Maintaining and developing the company's financial model to support planning and decision-making. Owning cash flow forecasting and treasury management, including banking, payments and foreign exchange. Taking ownership of VAT returns and other statutory filings, ensuring compliance with all reporting requirements. Overseeing bookkeeping accuracy, reconciliations and the integrity of financial records. Supporting leadership with financial analysis, forecasting and commercial insights. Continuously improving finance processes, controls and reporting to support a fast-growing business. This role offers significant ownership and the opportunity to build and strengthen the finance function as the business continues to grow. Requirements: Qualified or part-qualified accountant (ACA, ACCA or CIMA preferred). Experience managing day-to-day finance operations within a growing business. Experience with audited accounts and communication with HMRC. Experience in understanding subscription ecommerces businesses. Strong financial modelling, forecasting and cash flow management skills. Experience working with external accountants and preparing investor or board reporting. Solid understanding of VAT, statutory reporting and financial compliance. High attention to detail with excellent organisational skills. Strong commercial mindset with the ability to communicate financial information clearly to non-finance stakeholders. A proactive, hands-on approach and the ability to thrive in a fast-paced, entrepreneurial environment. Salary & Benefits Competitive salary (depending on experience) Fully remote role High ownership position with direct exposure to the founders and leadership team Opportunity to help shape and scale the finance function within a high-growth business Broad remit across finance operations, commercial reporting and strategic planning Significant autonomy with the opportunity to make a tangible impact on business performance Fast-paced, entrepreneurial environment with strong progression opportunities Flexible working environment If this sounds like you, hit apply or email Kyle at kyle@hypergrowthrec.co.uk to find out more!
Responsibilities
Oversee day-to-day financial operations, including bookkeeping, VAT returns, and treasury management. Provide critical financial visibility through investor reporting, financial modelling, and commercial analysis to support business scaling.
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