Financial Manager Accountant At Sfors London jobs in London – Browse 10,690 openings on RoboApply Jobs

Financial Manager Accountant At Sfors London jobs in London

Open roles matching “Financial Manager Accountant At Sfors London” with location signals for London. 10,690 active listings on RoboApply Jobs.

10,690 jobs found

1 - 20 of 10,690 Jobs
Apply
SFORS logo
Full-time|On-site|London, Greater London, United Kingdom

Location: London, UKEmployment Type: Full-timeJoin SFORS, a leading player in global financial markets and a pioneer in proprietary trading. With over two decades of experience, we pride ourselves on nurturing talent and leveraging cutting-edge trading technologies, robust risk management frameworks, and effective strategies that foster trader success. Opera…

Feb 10, 2026
Apply
Helsing logo
Full-time|On-site|London

About UsHelsing is a pioneering defense AI company dedicated to safeguarding democracies. Our goal is to achieve technological excellence, enabling open societies to maintain sovereignty over their decisions and ethical standards.As a beacon for democracies, we recognize our unique responsibility in the thoughtful development and deployment of advanced technologies such as AI. We are committed to this responsibility.We are a driven and passionate group of engineers, AI experts, and customer-focused program managers. We invite mission-oriented individuals to join our European teams to tackle some of the most intricate and impactful challenges. Our culture promotes transparency and encourages healthy discussions about the use of technology in defense, its advantages, and ethical considerations.The RoleAs a Financial Accountant, you will play a crucial role in supporting our finance team by executing various accounting tasks to ensure seamless daily financial operations. You will assist in preparing financial reports, maintaining precise records, and ensuring adherence to financial regulations.Your Daily ResponsibilitiesAssist in the preparation of monthly, quarterly, and annual financial reportsPerform general ledger entries, including accruals, prepayments, and adjustmentsReconcile bank statements, balance sheets, and general ledger accounts

Feb 12, 2026
Apply
Abound logo
Full-time|On-site|London

About Abound Abound is reshaping consumer lending in the UK and beyond. Using AI and Open Banking data, the company offers fair, accessible personal finance options to a wider range of people. Instead of relying only on credit scores, Abound reviews each customer’s full financial picture, including spending habits and repayment ability, to make lending decisions. So far, Abound has issued over £1.3bn in loans directly to consumers. Credit performance stands out: for every 10 defaults expected by the industry, Abound sees only 3. The company reached profitability just 2.5 years after launch and is now recognized among Europe’s fastest-growing fintechs by Sifted and CNBC. With support from top investors, including Citi, GSR Ventures, and Deutsche Bank, Abound has secured over £2bn in backing. The team is expanding into new markets and developing new products. Abound values people who want to learn, take initiative, and grow as the company grows. Role Overview: Financial Accountant (London) The Financial Accountant will help shape and strengthen Abound’s finance operations. This is a hands-on role at the center of a growing fintech, managing essential accounting processes and improving systems to support rapid growth while maintaining strong controls. The position works closely with teams across the business to deliver accurate, scalable financial reporting that supports sound decision-making. This role is a key part of the Finance Team. For someone eager to develop, it offers a clear path to broaden skills, take on more responsibility, and move into senior or strategic positions at Abound. At Abound, finance is about more than looking back, it’s about enabling better decisions for the future.

Apr 15, 2026
Apply
Jane Street logo
Full-time|On-site|London, England, United Kingdom

Position Overview Jane Street is seeking a talented and qualified Financial Reporting Accountant to join our dynamic Financial Reporting team. In this role, you will be responsible for maintaining the financial books and records for our European operations and preparing accurate monthly and annual financial statements in collaboration with regional and global accounting teams. Your key responsibilities will include: Preparing and reviewing various accounting reconciliations and financial schedules that underpin our financial statements. Collaborating with external auditors and advisors, interpreting GAAP, and documenting accounting policies and internal controls. Working closely with our accounting-focused Technology team to streamline and automate processes for greater efficiency. At Jane Street, we thrive on finding innovative solutions to complex challenges. Our legal and regulatory landscape is ever-evolving, and we are looking for a self-motivated individual who pays meticulous attention to detail and deadlines, and is ready to dive into our fast-paced work environment.

Feb 17, 2026
Apply
ITRS Group Limited logo
Contract|Hybrid|London, England, United Kingdom

Join ITRS, where we empower critical technology to function seamlessly. Our mission is to provide innovative and automated IT observability solutions that protect vital applications and foster innovation. As the sole monitoring and observability platform tailored for the most demanding and regulated sectors, we are trusted by 90% of Tier 1 capital markets firms.At ITRS, we believe our success is intertwined with the success of our team. Here, you will discover:A supportive culture – We are honored to be recognized multiple years in a row as a Great Place to Work, thanks to our inclusive and nurturing environment.Meaningful work – Contribute positively to the operations of thousands of global customers in industries that sustain the world, including nine out of ten leading investment banks.Opportunities for advancement – Whether you're just starting your career or have years of experience, we are dedicated to your growth. Just ask our team members who have flourished here for over a decade.Headquartered in London, with teams across the US, Europe, and Asia, ITRS combines the agility of a high-impact tech company with the reliability of a private equity-backed global partner.Role OverviewAs an Interim Group Financial Accountant, you will directly report to our Group Finance Manager. Your primary role will be to establish and maintain an exceptional financial control environment across the group. You will assist the finance team in producing monthly, quarterly, and annual financial reports, while also driving the ongoing enhancement of our systems and team to achieve scalability and efficiency.We are seeking a contractor for a three-month engagement due to a recent acquisition and an increased workload within the team. This is a full-time role based in our London office, following a hybrid working model.Key ResponsibilitiesTechnical Accounting: Assist with various technical accounting projects.Month-End Accounting: Manage month-end reconciliations and related tasks for monthly reporting.Budgeting and Forecasting Support: Collaborate with our FP&A team on ad hoc requests.Year-End Audit Assistance: Gather information for external auditors and prepare/review statutory financial accounts.Global Tax Compliance: Participate in aspects of tax compliance, including corporation tax and VAT returns.Reporting Systems Improvements: Engage as a strategic thinker in ongoing internal system enhancements.Consolidated Financial Statement Preparation: Aid in preparing consolidated financial statements.Process Compliance: Ensure adherence to current processes and contribute to their development.

Mar 31, 2026
Apply
miseenplacelondon logo
Full-time|£35K/yr - £40K/yr|Hybrid|East London

Company OverviewWe are exclusively seeking a talented Management Accountant for a dynamic and expanding artisan coffee and dining multi-site company based in London. With ambitious growth plans and a vibrant work culture, our client is looking for an organized accounting professional to play a crucial role in the financial management of this evolving business.Role OverviewThis is a full-time position with a flexible working schedule, including the possibility of some remote work.Weekly and Monthly financial reportingManagement of Purchase Ledger, invoice processing, and payment runsSales Ledger management and credit control responsibilitiesBank, cash, and credit card reconciliationsProcessing invoices using XeroPosting journal entries as necessaryPreparation and submission of VAT returns, reconciliations, and statutory filingsManagement of prepayments and accrualsPayroll processingBudgeting and forecastingRegular bank reconciliationsReview of sales marginsKPI analysisGeneral oversight of balance sheet accountsProviding ad-hoc support to Directors and the Operations ManagerAdministrative support as needed

Oct 11, 2019
Apply
ComplyAdvantage logo
Full-time|On-site|London, England, United Kingdom

Join our dynamic UK Finance Team as a Financial Accountant, where your ambition and talent will thrive! This is an excellent opportunity for individuals eager to enhance their accounting skills and gain insights from a highly skilled team in a rapidly evolving SaaS Technology environment.This pivotal role within our Finance team is essential for maintaining the integrity and accuracy of the Group's financial records.Your Responsibilities:Conduct month-end accounting functions, including journal entries, balance sheet reconciliations, and profit & loss analysis.Assist in the rollout of new financial systems, developing and integrating new controls and processes.Support the annual statutory financial audit by preparing necessary documentation and addressing audit inquiries.Manage cash reporting for the business, producing weekly cash flow forecasts and collaborating with banking partners.Gain exposure to FX hedging by forecasting currency needs, contributing to hedging strategies, and aiding the implementation of the company's hedging policy.Assist in tax reporting across the group, including VAT, UK corporation tax, and US taxes.Prepare technical accounting papers and assist with the application and maintenance of financial accounting policies.Work closely with various Finance teams and key stakeholders, including senior management, to provide financial insights that support decision-making.Contribute to ad-hoc tasks and foster continuous process improvement.

Apr 2, 2026
Apply
AlphaSense logo
Full-time|On-site|London, Greater London, England, United Kingdom

Role overview AlphaSense seeks an Account Manager in Financial Services to join the London team. The focus of this role is to support a portfolio of financial clients, build long-term partnerships, and help clients achieve their business goals using AlphaSense’s search and insights platform. What you will do Manage and expand relationships with financial services clients Identify client needs and align them with the capabilities of the AlphaSense platform Guide clients in using the platform to inform their decision-making Work to deliver positive business outcomes for both clients and AlphaSense Requirements Background in managing client accounts within financial services Strong communication skills and ability to build relationships Comfort working in a results-oriented environment Interest in supporting client success through technology and insights Location This role is based in London, Greater London, England, United Kingdom.

Apr 24, 2026
Apply
Attio logo
Full-time|On-site|London

Attio develops a CRM platform for organizations seeking to automate, analyze, and customize their customer relationships. With $116 million raised from investors including GV (Google Ventures), Redpoint, Balderton, Point Nine, and 01A, the company is expanding quickly. Role overview The Finance team at Attio plays a central role in supporting company growth. This group ensures financial accuracy, compliance, and clear reporting, partnering with other departments to provide the information and controls needed for informed decisions as the business scales. As Attio grows, the Finance team is shaping systems and processes for the company’s next phase. What you will do Oversee daily finance operations across multiple entities Perform core accounting tasks, payroll, compliance, and financial reporting Work with teams across the company to maintain and improve financial processes Own reconciliations and monthly reporting, ensuring accuracy Contribute to building scalable, reliable finance operations for a growing global business What we value Strong attention to detail and a rigorous approach to financial operations Commitment to continuous improvement Interest in process ownership and streamlining workflows Drive to build high-quality finance systems in a high-growth setting Location London

Apr 22, 2026
Apply
Delta Capita logo
Full-time|On-site|London, Greater London, United Kingdom

Role Overview Delta Capita is seeking a Group Financial Reporting & Technical Accounting Manager to join its London office. This role holds key responsibility for the integrity of the Group’s balance sheet and statutory reporting framework. As part of the finance leadership team, this position provides technical accounting expertise and supports the ongoing improvement of financial reporting, balance sheet governance, and financial controls. Main Responsibilities Financial Reporting Assist in preparing comprehensive financial statements for the Group. Ensure all reporting complies with UK GAAP and other applicable standards. Review and analyze financial data to confirm accuracy and completeness. Oversee the consolidation of financial results across Group entities. Compliance and Controls Ensure statutory reporting requirements are met across the Group. Maintain strong internal controls over financial reporting processes. Work closely with auditors throughout external audit cycles. Monitor updates to accounting regulations and standards, ensuring timely compliance. Team Management Mentor and support the development of reporting and accounting staff. Allocate responsibilities and track progress to meet deadlines. Encourage a culture of continuous improvement within the finance team. Process Improvement Identify opportunities to enhance reporting processes. Promote automation and greater efficiency within financial systems. Contribute to finance transformation initiatives. Performance Metrics Achieve full reconciliation of balance sheet accounts each month. Deliver statutory accounts on schedule, in line with established timetables. Maintain a well-organized audit evidence library. Location: London, Greater London, United Kingdom

Apr 17, 2026
Apply
Airwallex logo
Full-time|On-site|UK - London

About AirwallexAirwallex is a pioneering global payments and financial platform tailored for businesses, leveraging our innovative proprietary infrastructure and software. We empower over 200,000 businesses globally—including industry leaders like Brex, Rippling, Navan, Qantas, and SHEIN—with seamless solutions that encompass business accounts, payments, spend management, treasury, and embedded finance at a global scale.Founded in Melbourne, our team consists of over 2,000 of the most talented and forward-thinking individuals in technology, spread across 26 offices worldwide. With a valuation of US$8 billion and support from prominent investors such as T. Rowe Price, Visa, Mastercard, and more, Airwallex is at the forefront of transforming the future of global banking. If you’re eager to embark on a journey of impactful and ambitious work, we invite you to join us.

Jan 30, 2026
Apply
Bottomline Technologies logo
Full-time|On-site|UK, London

Join Bottomline Technologies as an Account Manager focused on serving banks across the globe from our London office. In this pivotal role, you will leverage your expertise to build and maintain strong relationships with clients, ensuring their needs are met and exceeded.Your responsibilities will include developing strategic account plans, identifying new business opportunities, and collaborating with cross-functional teams to deliver exceptional service and innovative solutions tailored to our clients in the banking sector.

Mar 30, 2026
Apply
Dwelly logo
Full-time|On-site|London, UK

Dwelly seeks a Financial Controller to join its London team. This role manages financial reporting and ensures compliance with all relevant regulations. The Financial Controller also provides guidance to support key business decisions. Key responsibilities Oversee preparation and delivery of financial reports Maintain compliance with applicable financial regulations Advise on financial matters to inform business strategy Contribute to the development of financial operations as the company grows Location This position is based in London, UK.

Apr 28, 2026
Apply
Taptapsend logo
Full-time|On-site|London

About the Role Taptapsend is hiring a Financial Reporting and Control Accountant for the London office. This position focuses on maintaining accurate financial reporting and upholding strong financial controls. What You Will Do Prepare financial statements and reports with attention to detail Analyze financial data to support business decisions Collaborate with teams across the company to gather and validate financial information Help ensure compliance with regulatory requirements Contribute to improving financial reporting processes and controls Who We’re Looking For This role suits someone who values accuracy, enjoys working with numbers, and wants to help strengthen financial operations. Experience in financial reporting, accounting, or a related field will be important for success.

Apr 17, 2026
Apply
enero logo
Full-time|On-site|London

Join our dynamic team at enero as an Account Manager. In this role, you will be the primary point of contact for our clients, ensuring their needs are met with excellent service and strategic insights. You will collaborate closely with various teams to deliver outstanding results and foster long-lasting relationships with clients.

Apr 30, 2026
Apply
Sidetrade logo
Full-time|On-site|London, England, United Kingdom

Sidetrade seeks an Enterprise Account Manager based in London to support revenue growth and retention across a portfolio of large, multinational clients. This position centers on building and maintaining strong relationships with Finance and Order-to-Cash leaders throughout EMEA and other regions. Acting as a trusted advisor, the Account Manager works to identify opportunities for account expansion while ensuring client needs are consistently met. Key Responsibilities Manage and strengthen relationships with enterprise-level clients in multiple countries Retain and expand revenue within assigned accounts Serve as an advisor to senior leaders in Finance and Order-to-Cash roles Spot and pursue new opportunities for account growth About Sidetrade Sidetrade is an AI company listed on Euronext Growth. The company specializes in Order-to-Cash Intelligence, helping enterprises extract more value from customer interactions using its proprietary platform and Data Lake. The team includes colleagues from 38 nationalities, bringing a broad range of perspectives. Sidetrade has been recognized as a Gartner® Magic Quadrant™ Leader since 2022. Team Culture Sidetrade values passion and a willingness to learn. Employees are encouraged to bring energy and authenticity to their work. Diversity and customer satisfaction are central to the company’s culture. Learn More Hear from team members on the Sidetrade Inside Out podcast.

Apr 28, 2026
Apply
Conveo logo
Full-time|On-site|London

Join Us at ConveoAt Conveo, we are revolutionizing the way businesses conduct research. Our AI research platform provides quick, cost-effective, and high-quality insights for both consumer and B2B sectors. Leading brands leverage our AI video interview technology to enhance their marketing, product development, and research initiatives.Why This Role MattersTraditional research methodologies are often slow, costly, and lack depth, which hampers companies' ability to truly understand their customers. By addressing these challenges, we empower organizations to better serve their audiences.About Our TeamYou will become part of a dynamic team that combines exceptional passion and expertise in market research, engineering, and entrepreneurship. We are committed to excellence while enjoying the process.Our Work CultureWe prioritize our clients and their needs, consistently going above and beyond.We work diligently while ensuring that we have fun.To maintain high-quality outcomes, we operate with a streamlined team.Role OverviewAs the Financial Operations Lead, you will be the cornerstone of Conveo’s financial operations. This pivotal role requires you to transform our finance function into a robust and scalable operation capable of supporting our growth through Series B and beyond.You will take ownership of Conveo’s financial health, collaborating with leadership and founders to guide decisions on capital, revenue, expenses, staffing, and expansion. You will be the architect of our financial framework, ensuring accuracy and integrity in our financial records.This position calls for a seasoned professional with expertise in financial control and accounting, someone who can maintain meticulous oversight of Conveo’s financial affairs.

Apr 8, 2026
Apply
Frontify AG logo
Full-time|On-site|London Area

At Frontify, we are dedicated to helping brands transform their ideas into impactful realities.Our innovative brand platform revolutionizes the way teams manage digital assets, collaborate on projects, and execute compelling campaigns. We empower thousands of marketers and designers, including renowned teams from Uber, Microsoft, Volkswagen, and Telefónica, to create engaging brands.With our headquarters in St. Gallen, Switzerland, and offices in London and New York City, we foster a vibrant culture rooted in creativity, collaboration, inclusion, and joy. We invite passionate individuals to join us on this exciting journey. If you're ready for a new adventure, we encourage you to explore this opportunity!Your TeamYou will collaborate with Frontify's commercial teams, which include Sales, Customer Success, and Revenue Operations. Our teams are international, motivated, and work collaboratively across Europe and New York. With a strong customer-centric focus, they are committed to onboarding new, beloved brands and helping them bring their visions to life in innovative ways.Your MissionAs a Key Account Manager, your primary mission is to be a trusted advisor and a catalyst for revenue growth among Frontify’s esteemed clients. You will oversee account renewals, identify and secure expansion opportunities, and cultivate enduring relationships with a diverse portfolio of high-potential enterprise accounts. By employing strategic account planning and your commercial acumen, you will align client objectives with Frontify’s cutting-edge solutions, enabling customers to achieve their goals while driving measurable outcomes for our organization.

Dec 3, 2025
Apply
Re-Leased logo
Contract|On-site|London

About Re-Leased Re-Leased is reshaping the real estate sector with a cloud-based property management platform. By combining automation, AI-driven insights, and deep industry knowledge, the company helps property professionals streamline operations and build stronger communities. The focus is on making property management more efficient and rewarding in a digital-first world. Role Overview: Financial Controller (Fixed-Term) This Financial Controller position is a fixed-term contract based in London, covering a planned leave. Reporting directly to the CFO, the role holds full responsibility for finance and accounting functions. The Financial Controller will oversee financial planning, analysis, budgeting, forecasting, and internal controls, ensuring that Re-Leased maintains strong financial discipline and compliance. This senior role offers the chance to lead key finance operations during an important period for the company. Key Responsibilities Oversee the month-end close process and prepare monthly management reports, including profit and loss, balance sheet, and cash flow statements for all company entities. Lead preparation of statutory accounts and manage external audits across New Zealand, Australia, the United Kingdom, the United States, and Canada. Supervise accounts payable and receivable, as well as treasury functions such as cash management and maintaining a 15-month rolling cash flow forecast. Work with the CFO to prepare board and investor reporting materials, ensuring the financial data book remains the single source of truth. Support bank covenant reporting and deliver financing-related KPIs to investors. Location This role is based in London.

Apr 16, 2026
Apply
Butternut Box logo
Full-time|On-site|London

Butternut Box is looking for a Financial Controller based in London. This position shapes the company’s financial strategy and supports its mission to deliver quality nutrition for dogs. Role overview The Financial Controller manages core financial operations, including reporting, budgeting, and forecasting. The work directly supports decision-making across the business and helps maintain strong financial health. What you will do Oversee financial reporting processes Lead budgeting and forecasting cycles Work with teams across the company to share insights and improve financial performance Collaboration This role partners with multiple departments, providing financial guidance and supporting company-wide initiatives.

Apr 29, 2026

Sign in to browse more jobs

Create account — see all 10,690 results

Tailoring 0 resumes

We'll move completed jobs to Ready to Apply automatically.