Remote Financial Controller Equity Upside
Greater London, London, Greater London, W1B, England, UK
Listed on 2026-05-27
-
Finance & Banking
Financial Manager, Corporate Finance, Financial Analyst
Location: Greater London
Opportunity
Slamcore is looking for a Financial Controller to manage the day-to-day financial operations of a scaling AI hardware company at a pivotal moment in its growth. You will report to the CFO and play a key role in ensuring the financial operations of the business run effectively, with strategic oversight provided by the CFO.
We are open to both full-time and part-time arrangements, with flexible working hours. The role can be performed largely remotely, provided you are UK-based.
If you want genuine equity upside in a business with real commercial traction, then read on.
Who we areSlamcore is a London-based company that builds AI-embedded hardware for industrial intralogistics and warehouse operations. Our two products, Slamcore Aware (live fleet visibility for operations managers) and Slamcore Alert (a driver safety system for forklifts), are deployed by some of the world's largest industrial operators. We have raised substantial VC funding from investors including Toyota, Samsung and top tech VC's, with a commercial footprint spanning Europe and North America.
Ourvision for this role
You will be responsible for the day-to-day running of the finance function, ensuring accurate reporting, strong financial controls and smooth financial operations across the business. You will be supporting financial planning, reporting and analysis, and helping to maintain a robust financial foundation as the business scales.
This is a hands‑on role focused on execution, with exposure to a wide range of financial activities across a growing international hardware business. We’re flexible on how working time is structured across the week (whether full‑time or part‑time), and the role can be performed largely remotely, with occasional in‑person time as needed.
How you will helpFinancial reporting
- Prepare monthly management accounts, cashflow and KPI dashboards for the CFO, supporting CEO and board‑level reporting
- Support the preparation of financial reporting materials and ensure accurate and timely delivery
- Maintain internal financial reporting processes and documentation
Budgeting, forecasting and modelling
- Maintain and update the financial model covering revenue, COGS, gross margin, OpEx and cashflow
- Support scenario and sensitivity analysis to inform decision making
- Work with internal teams to gather inputs into forecasts, including sales projections
Investment and debt
- Support the preparation of financial models and materials for fundraising and financing activities, with the CFO leading these processes
- Assist in financial analysis related to potential debt financing opportunities
Revenue and commercial finance
- Run the day‑to‑day Accounts Receivable infrastructure, including customer onboarding, quotation, invoicing, billing and collections
- Support pricing decisions with margin analysis across hardware and software/services revenue streams
Treasury
- Manage day‑to‑day treasury operations including banking, cash positioning and ensuring sufficient funds across company accounts
- Support management of FX, international banking and movement of funds across jurisdictions
Accounting and compliance
- Act as the day‑to‑day point of contact for our external accountancy firm and support financial compliance across all operating jurisdictions
- Own day‑to‑day Accounts Payable processes including supplier payments, approvals and expense management
- Support preparation and review of statutory filings including VAT, R&D claims and annual accounts
- Ensure financial records are accurate and maintained in line with regulatory requirements
International operations
- Support compensation and benefits administration including payroll, pensions and share option processes across a multi‑country team
- Maintain financial processes relating to overseas contract manufacturers, including landed cost tracking, import/export considerations and cross‑border financial flows
- Part-qualified or newly-qualified accountant (ACA, ACCA or CIMA)
- Experience in a finance role within a technology, supply chain or FMCG business
- Strong financial modelling capability and ability to work with structured financial data
- Experience working with international…
To Search, View & Apply for jobs on this site that accept applications from your location or country, tap here to make a Search: