Corporate Finance Manager

Posted Aug 19

This is a fully remote position, open to applicants in United Kingdom.

📋 Description

• Develop financial forecasts for banking license and payment institution / EMI submissions, encompassing P&L, balance sheet, capital, and liquidity.

• Manage funds and regulatory capital planning, which includes requirements, headroom, growth, and stress scenarios.

• Create models for safeguarding and payment buffers across regulated entities.

• Assist legal, compliance, and regulatory teams during application processes and Q&A cycles.

• Justify assumptions and revise projections to meet deadlines.

• Align license and capital models with the company's financial model and actual results.

• Construct business and investment cases for new markets, products, and initiatives.

• Execute scenario, sensitivity, profitability, and unit economics analyses.

• Prepare materials for boards and investors.

• Aid fundraising efforts through model development, diligence responses, and addressing investor inquiries.

• Contribute to M&A workstreams, including valuation, structuring analysis, and due diligence.

• Collaborate with various functions on planning, costs, and investment decisions.

• Conduct ad-hoc analyses.

• Work closely with the VP of Finance and engage with the CFO, CEO, board, legal, compliance, and regulatory stakeholders.


⛳️ Requirements

• Over 4 years of experience in corporate finance, strategic finance, financial modeling, transaction services, or a banking/fintech finance role.

• Developed or significantly maintained advanced financial models for a bank, fintech, or financial institution.

• Familiarity with regulatory financial models, including license applications, capital planning, ICAAP/ILAAP, or regulatory reporting.

• Outstanding Excel / Google Sheets modeling abilities, emphasizing structure, transparency, and error-proofing.

• Strong understanding of the three financial statements and their interrelations.

• Knowledge of banking or fintech economics, including interchange, net interest income, funding, and capital.

• Exceptional attention to detail.

• Structured thinking and a sense of ownership.

• Capability to work independently with CFO, CEO, and board-level stakeholders.

• Proficient written and verbal communication skills in English.

• Familiarity with SQL and BI tools like Metabase, Looker, and Tableau is an advantage.

• Python knowledge is a plus.

• Practical experience with AI tools in modeling, analysis, and reporting workflows is desirable.

• Background in treasury, capital management, or regulatory reporting is a plus.

• Experience in a firm seeking or holding a banking license is beneficial.

• A foundation in Big Four, investment banking, or consulting followed by an in-house fintech role is advantageous.


🏝️ Benefits

• Ongoing personal and professional development resources and opportunities.

• Flexibility to travel and work remotely or in a hybrid model across Europe.

• Stock Options Program available for all team members.

• Continuous support and care for employees.

• A modern, friendly, and eco-conscious corporate culture.

• Work & Swim Program: one month in a corporate apartment in Cyprus.

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