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Financial Reporting Manager (Remote)

LTS Resourcing
London · posted 18 August 2026
Salary
£65,000 – £75,000 a year
Job type
full time
Location
London, London
Category
Accounting/Financial/Insurance
Our client is a rapidly growing UK-headquartered B2B SaaS business with an international footprint looking to hire a Financial Reporting Manager to join their lean, high-performing finance team. Remote role. Reporting directly to the CFO, this is a hands-on individual contributor role with ownership across cash flow, working capital, revenue recognition, and key management and lender reporting. This is an excellent opportunity for a qualified accountant who enjoys operating autonomously, taking ownership, and working within a fast-paced technology environment where automation and AI are increasingly embedded into finance processes. Key responsibilities as the Financial Reporting Manager will include: * Producing and owning the rolling 13-week cash flow forecast and weekly liquidity reporting. * Managing working capital, aged receivables, and collections to protect cash and minimise DSO. * Escalating and resolving overdue items, particularly those beyond 60 days. * Owning deferred income and revenue recognition, including reconciliation to CRM data, SaaS metrics, and month-end KPIs. * Maintaining the share capital and deferred income areas of the balance sheet, ensuring a clear audit trail. * Preparing board pack inputs and owning the monthly lender reporting pack. * Ensuring covenant and lender reporting data is accurate and delivered on time. * Supporting company secretarial activities, including Companies House filings, shareholder registers, and cap-table updates. * Responding to investor information requests and escalating more complex matters where required. * Supporting the annual audit and statutory accounts for areas within your remit. * Continuously improving finance processes through automation and technology. As the Financial Reporting Manager, you will ideally have: * ACA, ACCA, or CIMA qualification, or strong qualified-by-experience credentials. * Proven experience in 13-week cash flow forecasting and working capital management. * Experience in revenue recognition and deferred income. * Excellent attention to detail and the judgement to review and challenge automated outputs. * A strong track record of meeting reporting and filing deadlines. * The ability to work autonomously within a remote, fast-moving environment. * Proven experience utilising AI and automation tools to improve finance processes. Apply Now If you’re a qualified accountant looking for a role where you can take genuine ownership of cash, revenue, and financial reporting within a scaling technology business, and have a passion for utilising AI within Finance, we’d be keen to hear from you. Apply now with your CV for a confidential discussion
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