Our Interim team are recruiting for an experienced Finance professional on behalf of a growing VC backed technology company.
This role will take ownership of the day-to-day accounting function, with a clear focus on financial reporting, cash management, and improving systems and processes as the business scales.
This is a practical, hands-on role, ideal for someone who enjoys bringing structure to finance in a fast-moving tech environment.
Responsible for: Monthly, quarterly, and year-end financial reporting.
Preparation of statutory accounts and managing the audit process.
Overseeing cash flow, treasury activity, and working capital.
Managing banking relationships and day-to-day treasury operations.
Leading the accounting team and ensuring a smooth month-end close.
Improving month-end close timelines and reporting quality.
Supporting upgrades or improvements to finance systems (ERP/accounting software).
Strengthening financial controls and documentation.
Automating and streamlining accounting and treasury processes where possible.
We're looking for someone who: Is a qualified accountant (ACA / ACCA / CIMA).
Has experience leading financial reporting and treasury in a growing business.
Is comfortable working hands-on while also managing a small team.
Has exposure to finance systems and enjoys improving processes.
Has experience in tech, SaaS, or a fast-paced environment (preferred but not essential).