Part-Time Finance Manager – Fast-Growth Tech Scale-Up – Remote
Salary: £50,000 – £60,000 (pro rata)
Commitment: 2–3 days per week
Location: Remote
About Us
We’re representing a scaling tech business with circa £2M in revenue, entering an exciting phase of structured growth. As the company expands, we’re looking for a hands-on Finance Manager to take ownership of the finance function and help bring clarity, discipline, and commercial insight to the business.
This is a high-impact role in a founder-led environment where finance plays a critical part in enabling sustainable growth.
The Role
This is not a purely advisory position. You will be responsible for running the day-to-day finance engine of the business, working closely with the leadership team to ensure strong financial control, accurate reporting, and proactive cash management.
You will bring structure to a scaling organisation, improve processes, and provide practical financial insight that supports operational and strategic decision-making.
Key Responsibilities
* Managing day-to-day finance operations, including cash flow, reconciliations, and controls
* Owning rolling cash flow forecasting (including 13-week forecasting)
* Managing working capital, credit control, and supplier payment prioritisation
* Preparing monthly management accounts and performance reporting
* Overseeing budgeting, forecasting, and scenario modelling
* Handling invoicing, payroll, and expense management
* Supporting project-based revenue tracking, milestone invoicing, and utilisation-based reporting
* Improving and documenting finance processes as the business scales
* Liaising with external accountants, advisors, and any funding partners
* Supporting strategic decisions with clear, actionable financial insight
About You
We are particularly interested in candidates with:
* Strong SME, professional services, consultancy, or project-based business experience
* Deep understanding of project revenue models, uneven cash flow, milestone billing, and utilisation-driven operations
* Direct hands-on experience managing rolling cash flow forecasting and working capital in a fast-moving environment
* Experience operating in early-stage or scaling businesses without mature finance structures
* A proactive, operational mindset, comfortable personally handling invoicing, debtor management, process improvements, and day-to-day finance tasks
* Strong experience with cloud accounting systems (Xero essential)
* Ability to build practical management reports, financial dashboards, and commercial insight for founders
* Experience bringing structure to ambiguity and building processes from scratch
* Comfortable working independently in a remote setup
Strongly Preferred
* Experience with invoice finance, factoring, or working capital facilities
* Familiarity with drawdown processes, debtor management requirements, and cash timing optimisation
* Experience supporting founder-led growth environments