This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
Financial Controller role at Hypervolt, a fast-growing cleantech company at the forefront of the electric vehicle charging revolution, focused on transforming the EV charging space through customer experience, software, and hardware design.
Job Responsibility:
Own and deliver accurate, timely monthly management accounts, including P&L, balance sheet, cash movements, and supporting schedules
Improve the quality, structure, and reliability of all elements of the management accounts in line with Hypervolt’s financial KPIs
Establish strong P&L, balance sheet, and cash flow controls, reconciliations, and month-end close discipline in line with audit standards
Own revenue and cost recognition, including deferred revenue, staged billing or delivery, and unit economics where applicable
Ensure accurate inventory accounting across manufacturing, logistics, and fulfilment
Maintain appropriate accounting treatment in line with contractual terms and applicable standards
Ensure appropriate capitalisation policies and depreciation treatment
Own working capital management, with a particular focus on inventory, receivables, and payables
Partner with Strategic Finance by providing high-quality AR/AP visibility to support short-term cash forecasting
Actively manage near-term cash execution, including collections, supplier payments, and inventory timing
Support assessment of trade finance, inventory financing, and FX exposure, as required
Control and monitor CapEx related to R&D and international expansion
Lead the migration from Xero to a scalable ERP
Own system selection, implementation, data migration, controls design, and user adoption
Improve data integrity across accounting, inventory, and operational systems
Implement reporting and insights tooling to support financial and operational KPIs
Lead preparation for year-end audit and act as the primary point of contact for auditors
Manage relationships with tax advisors and ensure compliance with UK tax obligations
Ensure reporting aligns with UK GAAP / IFRS, with awareness of future international requirements
Design and implement accurate and scalable finance processes suitable for a lean, high-growth company
Improve automation and controls across invoicing, AP, AR, inventory, payroll, and month-end close
Manage and develop a junior finance team, setting clear standards and accountability
Be prepared to work hands-on prioritizing improvement in execution quality
Work closely with the Strategic Finance / FP&A team, providing clean, reliable reporting and operational insight
Requirements:
10+ years’ experience in finance roles within high-growth, fast paced, and hands-on environments
Prior Financial Controller or senior finance manager experience
Strong exposure to hardware and software business models
Proven experience leading ERP / finance system implementations and audit
ACA, ACCA, CIMA, or equivalent qualification
Strong technical accounting capability
Advanced Excel skills
Strong financial reporting software capabilities
Highly hands-on and execution-oriented
Comfortable operating in fast moving and demanding environments
Strong ownership and self-review mindset
Able to work constructively with non-finance stakeholders
Nice to have:
Experience with international accounting standards (e.g., US & Asia) and Group reporting