Our client is a fast growth, luxury retail brand. This is a truly exciting time to join the business in a sole charge finance manager position, reporting directly into an energetic and passionate founder, and with the support of a Fractional CFO and external bookkeepers. The role will work closely with external accountants, but in the main run the end-to-end finances of a fast growth company. The role will include, but not limited to: Working directly with founder on all finance and accounting matters. Assisting with launching the brand in new target markets. Build cash flow reporting and analysis to be able to provide short & long term recommendations. Have a commercial mind-set to cash flow management. Core finance operations to include payroll, AP/AR, general bookkeeping. Relationship management for accountants to ensure all statutory and companies house filings are made in a timely manner. The ideal candidate will be able to demonstrate: Qualified accountant. Experience of working with a growth environment. Experience of running the core finance operations of a SME, either in industry or acting as in-house finance for clients whilst in practice. The brands showroom is based in London, but this role can be performed remotely, with occasional travel to London (once every 2/3 weeks) required.
Jun 26, 2025
Full time
Our client is a fast growth, luxury retail brand. This is a truly exciting time to join the business in a sole charge finance manager position, reporting directly into an energetic and passionate founder, and with the support of a Fractional CFO and external bookkeepers. The role will work closely with external accountants, but in the main run the end-to-end finances of a fast growth company. The role will include, but not limited to: Working directly with founder on all finance and accounting matters. Assisting with launching the brand in new target markets. Build cash flow reporting and analysis to be able to provide short & long term recommendations. Have a commercial mind-set to cash flow management. Core finance operations to include payroll, AP/AR, general bookkeeping. Relationship management for accountants to ensure all statutory and companies house filings are made in a timely manner. The ideal candidate will be able to demonstrate: Qualified accountant. Experience of working with a growth environment. Experience of running the core finance operations of a SME, either in industry or acting as in-house finance for clients whilst in practice. The brands showroom is based in London, but this role can be performed remotely, with occasional travel to London (once every 2/3 weeks) required.
We are seeking a Interim Group Reporting Manager to join a prestigious FTSE 100 organisation on a contract basis. This is a key role within the Group Finance function, responsible for supporting high-quality external reporting, managing the consolidation of group results, and ensuring compliance with IFRS. This is a fixed term contract for 6 months. Key Responsibilities: Lead the preparation of the Group's consolidated financial statements in accordance with IFRS and UK regulatory requirements. Coordinate the monthly, quarterly and year-end consolidation process, ensuring timely and accurate reporting across multiple business units. Draft and review key sections of the Annual Report and Interim Statements, including notes to the accounts and disclosures. Drive process improvements across the group reporting and consolidation framework to improve efficiency, control, and accuracy. Collaborate closely with regional finance teams and other Group functions (e.g. tax, treasury, investor relations). Key Requirements: Fully qualified accountant (ACA, ACCA or equivalent), ideally trained in a Big 4 or top-tier accounting firm. Experience in group financial reporting and consolidations. Strong technical knowledge of IFRS and UK financial reporting requirements.
Jun 23, 2025
Full time
We are seeking a Interim Group Reporting Manager to join a prestigious FTSE 100 organisation on a contract basis. This is a key role within the Group Finance function, responsible for supporting high-quality external reporting, managing the consolidation of group results, and ensuring compliance with IFRS. This is a fixed term contract for 6 months. Key Responsibilities: Lead the preparation of the Group's consolidated financial statements in accordance with IFRS and UK regulatory requirements. Coordinate the monthly, quarterly and year-end consolidation process, ensuring timely and accurate reporting across multiple business units. Draft and review key sections of the Annual Report and Interim Statements, including notes to the accounts and disclosures. Drive process improvements across the group reporting and consolidation framework to improve efficiency, control, and accuracy. Collaborate closely with regional finance teams and other Group functions (e.g. tax, treasury, investor relations). Key Requirements: Fully qualified accountant (ACA, ACCA or equivalent), ideally trained in a Big 4 or top-tier accounting firm. Experience in group financial reporting and consolidations. Strong technical knowledge of IFRS and UK financial reporting requirements.