We’re a fast-growing British-led consultancy operating globally, working across operations, automation, and AI.
We’re looking for a senior finance operator (Fractional CFO or equivalent) to help us properly get control of our numbers as we scale.
This is not bookkeeping. This is about building a clear financial engine behind the business.
Right now, revenue is growing quickly, but we need structure around:
Cashflow visibility
Forecasting
Profitability tracking
Financial decision-making
Scope of Work:
Build a clean cashflow model (short-term and forward-looking)
Set up revenue forecasting (retainers, one-off projects, pipeline)
Implement cash management strategy (runway, reserves, allocations)
Create simple, usable financial reporting (not overcomplicated)
Advise on profitability and pricing structure
Support VAT, tax positioning, and overall financial structure (UK-based company)
Help move us from reactive to controlled and predictable financially
What We’re Looking For:
Proven experience as a CFO, fractional CFO, or senior finance consultant
Experience with service-based businesses or consultancies
Strong understanding of cashflow management and forecasting
Commercial mindset, not just accounting
Ability to simplify finance into clear, actionable insights
Nice to Have:
Experience with high-growth or founder-led businesses
Understanding of international revenue (US clients, UK entity)
Familiarity with lean finance stacks (we don’t want overengineered setups)
Engagement:
Ongoing advisory role, starting with an initial setup phase
Flexible hours, but looking for someone who can take ownership
Additional Notes:
We move fast and expect the same. Looking for someone who can come in, assess quickly, and build a simple but solid financial foundation.
If you’ve helped a consultancy go from messy finances to controlled growth, that’s exactly what we need.
Apply Now
Apply Now