Cledara helps businesses take control of their software subscriptions by providing visibility of software spend, cutting excess costs, and streamlining administrative tasks. Our platform allows companies to focus on what matters most: growing their business.
With over 1,000 customers globally, we are recognized as a leader in the SaaS management space. We are proud to announce that in February 2026, G2 named Cledara one of the Best UK Software Companies. This prestigious recognition follows our success in the G2 Winter 2025 Report, where we earned 16 badges for SaaS Spend and SaaS Operations Management. Our high ratings for usability and customer relationships underscore our commitment to a powerful yet user-friendly product.
We are a product-led company with a clear vision and backed by tier-1 investors, including Notion Capital, Nauta Capital, Anthemis and CommerzVentures. We have a market-leading product with a proven track record and a collaborative team with a high-performance culture. We believe in working hard so we can learn quickly and get better.
The Role
Cledara is moving into its next phase of maturity, and we are looking for a Finance Manager to take a lead role in our day-to-day financial operations. This is a vital position within a lean, high-impact team, requiring someone who enjoys the technical side of accounting and takes pride in building robust, scalable financial processes.
This role is designed for a technical expert who thrives on execution. You will be responsible for ensuring our financial data is precise, our controls are airtight, and our reporting is seamless across our UK, US, and Spanish entities. You will work closely with our CEO to provide the accurate, real-time data required to drive the business forward.
This role can be based out of either our London or Barcelona office.
What You Will Do
Financial Excellence: Manage the end-to-end accounting cycle, including complex account reconciliations and balance sheet management
Group Consolidation: Lead the management accounting for the Cledara group, ensuring accurate consolidation across our USD, EUR, and GBP entities
Process Architecture: Evaluate and refine existing financial workflows to increase efficiency and ensure the finance function scales in line with company growth
Audit & Compliance: Serve as the primary point of contact for annual financial audits, preparing all necessary documentation and ensuring that audit findings are translated into improved internal controls
Treasury & Cash Management: Oversee bank reconciliations and manage group-wide cash efficiency, ensuring all entity accounts are optimized for monthly operational requirements
Cross-Border Operations: Manage FX adjustments for three international entities, maintaining a high standard of accuracy in multi-currency reporting
Internal Controls: Maintain and enforce internal controls for expense management and cost oversight
Requirements
Who You Are
We are looking for a high-performance finance professional who has seen what good looks like at 100+ people and knows how to build the infrastructure to get us there. You have a background in a high-growth SaaS or Fintech environment and are a technical expert who finds satisfaction in high-integrity data and precision. You are curious about the world and excited to bring operational insights into the organization to help us scale efficiently.
You will thrive in this role if you:
Can jump from high-level financial reporting to granular ledger detail without losing a beat. Are energized by the prospect of building institutional-grade financial infrastructure from the ground up. Possess a high degree of autonomy and the ability to drive complex projects (like international audits or consolidations) to completion. Value a lean, high-output team environment where your work has a direct impact on the company's trajectory.
Skills And Qualifications
Qualified Accountant: You must be ACA, ACCA, or CIMA qualified. A background in a top 10 firm or a similarly high-rigor audit environment is highly preferred
SaaS/Fintech Experience: You have worked within a finance function at a technology company and understand the nuances of recurring revenue models
Technical Proficiency: You are an advanced user of Xero and are comfortable leveraging modern finance stacks to automate manual workflows
Analytical Rigor: You have an extreme attention to detail and a passion for data integrity
Global Mindset: Fluent English is essential. Experience working across international jurisdictions is a significant advantage
Benefits
We offer a competitive salary based on experience, alongside a comprehensive benefits package:
Health and Wellness: Access to a Private Medical Insurance plan and a corporate ClassPass account
Professional Growth: A £/€500 annual training budget to support your ongoing learning and development
Work Environment: A vibrant office space featuring outdoor terraces, showers, and secure bike storage. This role will involve a hybrid model, with 3 days per week in the office, to foster collaboration and team culture
Tech: We will provide the tools you need to succeed, including an Apple MacBook
Culture and Food: Regular company offsites, social outings, and complimentary fruit, snacks, and team lunches
Location Specific Perks:
London: A fully equipped gym within the office, as well as access to all gyms across the Fora office network
Barcelona: A €100 per month food allowance to support your team lunches and daily sustenance
Ready to Join Us?
We would love to hear from you! Even if you don't tick every box, we encourage you to apply, we value potential and diverse perspectives just as much as experience.
Nivel de antigüedad
Intermedio
Tipo de empleo
Jornada completa
Función laboral
Finanzas
Sectores
Servicios y consultoría de TI
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