Junior Finance & Accounting Manager
Job summary
We are seeking a highly analytical and detail-oriented Junior Finance & Accounting Manager to support our financial operations and strategic growth initiatives. This role goes beyond traditional accounting—it requires strong expertise in financial analysis, financial modelling, forecasting, and investor reporting. The ideal candidate will play a key role in translating financial data into actionable insights that drive business decisions and support fundraising efforts.
Job descriptions & requirements
Responsibilities:
Financial Analysis & Strategic Support:
- Conduct in-depth financial analysis to evaluate business performance
- Identify trends, risks, and growth opportunities
- Provide data-driven recommendations to management
- Support strategic planning and expansion initiatives
Accounting & Financial Control:
- Oversee daily accounting operations (AP/AR, reconciliations, general ledger)
- Ensure accuracy and integrity of financial records
- Maintain strong internal controls and financial processes
- Prepare monthly, quarterly, and annual financial statements
Financial Modelling (Core Requirement):
- Build and maintain dynamic financial models (3-statement models)
- Develop scenario and sensitivity analyses (best/worst case)
- Model revenue streams, cost structures, and profitability
- Support valuation analysis and business case development
- Turn business assumptions into financial projections
Forecasting & Budgeting:
- Develop short-term and long-term financial forecasts
- Monitor actual performance vs budget and analyze variances
- Continuously refine financial assumptions and projections
- Support departmental budgeting processes
Investor Reporting & Pitch Support:
- Prepare investor-ready financial reports and dashboards
- Assist in building financial sections of pitch decks
- Present financial insights clearly to stakeholders and investors
- Support fundraising activities (VCs, angel investors, grants)
Cash Flow & Performance Management:
- Monitor cash flow and working capital
- Track burn rate and runway (especially for startups)
- Recommend cost optimization strategies
- Ensure efficient financial resource allocation
Compliance, Tax & Audit Support:
- Ensure compliance with financial regulations and tax laws
- Assist with VAT, PAYE, and statutory filings
- Support internal and external audits
- Maintain proper financial documentation
Requirements:
- Bachelor’s degree in Accounting, Finance, Economics, or related field
- ACA / ACCA (in progress or completed is a strong advantage)
- 2–4 years experience in finance, accounting, or financial analysis
- Experience in startups, consulting, fintech, or e-commerce is highly preferred
- Advanced Excel / Google Sheets (financial modelling level)
- Strong financial modelling and forecasting skills
- Solid understanding of accounting principles
- Experience with accounting software (QuickBooks, Sage, etc.)
- Strong problem-solving and critical thinking ability
- Ability to interpret complex data and simplify insights
- High attention to detail and accuracy
- Ability to present financial data to non-finance stakeholders
- Strong report writing and presentation skills
- Confidence in working with leadership and investors
- Ability to tell a compelling financial story is critical
Key Performance Indicators (KPIs):
- Accuracy of financial models and forecasts
- Timeliness and quality of financial reports
- Effectiveness of investor presentations
- Budget adherence and cost control
- Cash flow efficiency and runway management
We are Looking for Someone Who:
- Thinks like a finance strategist, not just an accountant
- Can build models, not just reports
- Understands business growth, not just numbers
- Is comfortable working in a fast-paced, growth-driven environment
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