Startup Finance Manager | Series A | Fractional | 3 days per week | £400/dayFractional Finance Manager | London | Series A MarTech | Startup Experience REQUIRED
We\’re hiring for a Series A SaaS startup that operates globally across the UK, US, UAE, and Serbia . Their SaaS platform empowers some of the world\’s leading brands – including Mercedes-Benz, L\’Oréal, and New Balance – to create immersive 3D commerce experiences .
Role summary
Role title: Finance Manager
Location: London (Remote)
Start date: January 2026
Who We\’re Looking For?
2–5 years\’ experience in finance or accounting (ideal for someone progressing toward Finance Manager level).
Familiarity with SaaS financial models and revenue recognition principles .
Comfortable with taking on responsibility and working in fast‐moving Startup environment .
Working knowledge of UK accounting and tax .
Strong technical skills in Xero , Google Sheets , and ideally Causal .
Detail‐oriented, dependable, and able to maintain cadence in a remote‐first, multi‐entity setup .
Nice to haves
Experience with international finance operations (US, Serbia, UAE, or Cyprus).
Exposure to multi‐entity consolidation and intercompany processes .
Background in a VC‐backed SaaS or technology business .
Generate and issue client invoices based on signed contracts or project documentation.
Ensure adherence to payment terms and maintain accuracy in billing.
Ensure revenue recognition process is following GAAP rules.
Lead credit control efforts, including coordinating with internal teams and external stakeholders.
Oversee bookkeeping activity by bookkeepers across all entities with closer collaboration in the UK as the main entity.
Onboard new vendors and manage expense approvals to ensure service completeness.
Payments and Employee Expenses (Including Subsidiaries)
Prepare weekly payment runs, seek approvals and execute payments or oversee 3rd parties in handling these in other entities.
Ensure accurate inter‐company recharges across all entities and maintain accurate recharge balance sheet accounts for all entities.
Oversee statutory filings and payroll
Collaborate with external accounts, including in local subsidiaries and oversee VAT and other statutory filing reports, ensuring timely and accurate submissions.
Reporting and Group Reconciliation
Generate monthly reporting with detailed commentary at group level.
Work with local accountants to ensure group results are consolidated accurately.
Ensure seamless reconciliation across all group entities, including inter‐company transactions.
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Contact Detail:
enki Recruiting Team