Finance Manager, Liquidity

7 days ago


London, Greater London, United Kingdom Nscale Full time £50,000 - £80,000 per year

About Nscale
Nscale is the GPU cloud engineered for AI. We provide cost-effective, high-performance infrastructure for AI start-ups and large enterprise customers. Nscale enables AI-focused companies to achieve superior results by reducing the complexity of AI development. Our GPU cloud bolsters technical capabilities and directly supports strategic business outcomes, including cost management, rapid innovation, and environmental responsibility.

We thrive on a culture of relentless innovation, ownership, and accountability, where every team member takes pride in their work and drives it with excellence and urgency. As an Nscaler, you'll build trust through openness and transparency, where everyone is inspired to do their best work. If you join our team, you'll be contributing to building the technology that powers the future.

We're looking for a
Finance Manager (Liquidity)
to take ownership of cash flow and liquidity planning at the heart of our finance organization. You'll be responsible for ensuring the company always has a clear view of its cash position, future liquidity needs, and the resources required to support growth.

This role blends
day-to-day operational oversight
(cash flow, working capital, credit facilities) with
forward-looking financial planning
. You'll provide leadership with insights that shape investment, capital allocation, and risk management decisions.

You'll also act as a key connector across Finance, Treasury, and Operations — building robust forecasting processes, strengthening controls, and creating reporting that gives real-time visibility into liquidity. The right candidate will be equally comfortable deep in the details of cash flow mechanics and presenting high-level strategies to senior stakeholders.

What You'll Be Doing

  • Monitor cash flow, liquidity positions, and working capital
  • Build and maintain short- and long-term cash flow forecasts
  • Partner with Corporate Development to inform capital planning
  • Act as bridge with Treasury team, ensuring that debt facilities are factored into forecast giving thought to covenants
  • Provide insight and recommendations to leadership on liquidity risks and opportunities
  • Support the budgeting and forecasting cycle with liquidity considerations
  • Strengthen cash management processes, controls, and reporting frameworks
  • Drive ad-hoc liquidity and financing analysis for e.g. projects / third party due diligence / management requests

About You (Skills / Qualifications)

  • Fully qualified accountant (ACA, ACCA, CIMA, or equivalent)
  • 4–6 years of finance experience, with exposure to liquidity management, cash flow forecasting, or treasury operations
  • Strong analytical and modelling skills in Excel (experience with financial systems a plus: NetSuite, Adaptive Insights, Anaplan, etc.)
  • Experience in high-growth, tech-driven industries (SaaS, cloud, AI or similar preferred)
  • Excellent communication skills — able to present liquidity insights clearly to senior stakeholders

Equal Opportunities Statement
We strongly encourage applications from people of colour, the LGBTQ+ community, people with disabilities, neurodivergent people, parents, carers, and people from lower socio-economic backgrounds.

If there's anything we can do to accommodate your specific situation, please let us know.

The responsibilities outlined in this job description are not exhaustive and are intended to provide a general overview of the position. The employee may be required to perform additional duties, tasks, and responsibilities as assigned by management, consistent with the skills and qualifications required for the role.



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