What you'll do
As the Finance Manager at Thrive, you will play a pivotal role in shaping and executing our financial strategy to support the company's growth and success. This position is responsible for managing and optimising our revenue operations, ensuring regulatory compliance, and delivering precise financial reporting that informs business decisions. You will oversee all revenue-related processes, while also supporting comprehensive financial management, reporting, and forecasting.
Key Responsibilities:
1. Revenue Operations:
- Oversee all aspects of revenue management, including invoicing, cash collection, revenue recognition, and deferred revenue.
- Lead revenue budget forecasting and cash flow projections, contributing directly to the financial health of the organisation.
- Manage subscription billing, ensure accurate sales commission calculations, and track revenue forecasts in collaboration with sales, marketing, and customer success teams.
2. Financial Management:
- Prepare and review financial statements and reports, including income statements, balance sheets, and cash flow statements.
- Provide timely, accurate financial reports on a monthly, quarterly, and annual basis, offering insight into Thrive Learning's financial standing for senior leadership.
- Develop, monitor, and adjust budgets and forecasts, comparing actual financial performance against projections.
- Manage and maintain the company's financial and accounting systems, covering accounts payable, accounts receivable, payroll, and the general ledger.
- Collaborate with other departments and senior management to deliver financial insights and analysis that support key business decisions.
- Partner closely with the CFO to develop financial strategies aligned with Thrive's overarching business objectives.
What you bring
Requirements:
- Qualified Accountant (ACA, ACCA, CIMA, or equivalent); qualified by experience (QBE) candidates will also be considered.
- Minimum of 5 years of experience in accounting and finance, with a strong background in financial analysis and modelling.
- Excellent communication and interpersonal skills, with the ability to work collaboratively across departments and with senior leadership.
- Thorough understanding of financial regulations, tax laws, and accounting principles.
- Advanced proficiency in Microsoft Excel and other financial analysis tools.
Desirable Skills:
- Experience within a SaaS organisation.
- Familiarity with HubSpot, Google Suite, and various accounting systems.
- An ambitious mindset with a proactive approach to optimising existing systems and processes.
- Experience in a fast-paced, high-growth environment.
What you'll get
- Competitive salary
- Flexible working hours
- Birthday off
- Health cash plan
- Unlimited Holiday. Yes you did hear that right!
- Work from anywhere (4 weeks a year)
- Thrive days! 10-3 Fridays
- Shutdown over Christmas & New Year!
- Company trip
#LI-Hybrid
Team Finance Locations Nottingham Remote status Hybrid Remote
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