Are you ready to play a pivotal role in reshaping financial strategies?
Great opportunity to join a very successful private equity-backed software group focusing on financial strategies, net working capital, cash modelling, debt management, and more.
Offering between £70,000 to £85,000 + Bonus + Equity Options + Very Flexible Hybrid Working (mostly remote, 1 day in the office)
About the Role:
This is a newly created role (reporting into the Commercial FD and a dotted line to CFO/Wider C-Suite) to gain a deeper understanding of cash flow and net working capital (NWC). Historically, they’ve focused on EBITDA, but now they’re expanding the team to ensure they have a comprehensive grasp of their wider financial health.
It’s worth highlighting that this isn’t a P&L focused business partnering role, we’re looking for someone with a fairly niche skillset (details below).
They’ve already got a decent-sized technical accounting team adept at handling numbers and cash flow, treasure etc. However, what's missing is unravelling the 'why' behind these figures.
Your Responsibilities:
1. Be responsible for the delivery of monthly net working capital and cash flow analysis
2. Co-ordinate finance resource (to delivery required detailed analysis) to enable the delivery of this insight
3. Be responsible for financial modelling in relation to cash flow generation, debt serviceability and leverage
4. Work with the T...