Finance Manager
Job in
Maidenhead, Berkshire, SL6, England, UK
Listed on 2026-09-13
Listing for:
Aimee Willow Connex
Full Time
position Listed on 2026-09-13
Job specializations:
-
Finance & Banking
Financial Reporting, Financial Analyst, Financial Manager, Corporate Finance
Job Description & How to Apply Below
Core Responsibilities
Loan Book, Portfolio & Financial Analysis
- Work closely with the Head of Portfolio & Analyst to ensure loan book performance and portfolio trends are accurately reflected within the Company's financial forecasts, budgets, liquidity planning and management reporting.
- Collaborate with the Head of Portfolio & Analysis on cohort and portfolio reporting, using the analysis produced to understand the financial impact of origination volumes, repayments, arrears, defaults, recoveries and loan book runoff.
- Work with the Head of Portfolio & Analysis and Collections Manager to understand expected collections performance and ensure changes in collection rates are appropriately reflected within liquidity and cash flow forecasts.
- Support the CFO and Head of Portfolio & Analysis with bad debt provisioning and impairment forecasting, ensuring portfolio performance, arrears, defaults and expected recoveries are appropriately reflected within financial reporting and forecasts.
- Develop and maintain robust 13-week and 12-month rolling liquidity models to track cash inflows from repayments and investments, and cash outflows for loan disbursements, investor withdrawals and operational costs.
- Maintain forward-looking cash and liquidity forecasts which reflect the ever-changing investment roadmap, including expected new investment, investment increases, withdrawals, capital returns and fluctuations in investor funding,
- Own the integrated 3-way financial forecasting model covering Profit & Loss, Balance Sheet and Cash Flow for the overall business.
- Prepare and maintain the annual financial budget and departmental targets, with input from business teams.
- Maintain rolling forecasts throughout the year and reforecast appropriately as lending volumes, investment levels, collections, staffing costs and business assumptions change.
- Assist the CFO in preparing Board packs, investor reporting and presentations for potential funding rounds or debt facilities.
- Compare actual monthly expenditure against targets and budgets, investigate material variances and update forecasts accordingly.
- Oversee accounts payable and accounts receivable activity.
- Manage invoicing processes and payment tracking across the business.
- Review new loans, borrower repayments and investor capital movements.
- Track expected investment inflows, withdrawals and capital repayments and ensure these are incorporated into the Company's liquidity forecasts.
- Reconcile investor balances and payments to finance records and investigate any discrepancies.
- Share responsibility with the Head of Portfolio & Analysis for reviewing the loan tape for errors, inconsistencies and data quality issues, with clear ownership of finance-related reconciliations and reporting requirements.
- Collaborate on the continued development and enhancement of the loan tape, ensuring it provides the appropriate data and visibility required across Finance, Portfolio, Collections and senior management.
- Work alongside the Head of Portfolio & Analysis and Technology teams to identify opportunities to improve data quality, reporting visibility, automation and system processes.
- Identify and investigate reporting inconsistencies, reconciliation gaps and finance data issues, working collaboratively with the Head of Portfolio & Analysis where issues relate to portfolio or loan-level data.
- Take responsibility for coordinating the annual financial audit, working across the business, CFO, external Finance function and auditors.
- Manage audit information requests and ensure supporting schedules, reconciliations and documentation are delivered accurately and on time.
- Coordinate responses to audit queries and ensure any identified issues or recommendations are followed through to completion.
- Proven experience in a financial modelling or FP&A role within the UK financial services sector (ideally broker-led SME lending, challenger banks, or asset finance).
- Advanced Excel proficiency is essential (ability to build robust, scalable, and error-free models using macros, pivot tables, and complex lookups). Experience with SQL, Python, or BI tools (e.g., PowerBI, Tableau) is a major plus.
- Familiarity with loan accounting, credit risk modelling techniques, and liquidity metrics.
- Comfortable identifying, investigating, and resolving reporting inconsistencies, finance data issues,…
To View & Apply for jobs on this site that accept applications from your location or country, tap the button below to make a Search.
(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).
(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).
Search for further Jobs Here:
×