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SER Limited
Financial Controller
SER Limited Peterborough, Cambridgeshire
An exciting opportunity has arisen for an experienced Financial Controller to join a growing packaging business who are making strides in the packaging machinery & fresh produce sectors. This is a pivotal role within the finance team, responsible for overseeing all financial operations and ensuring the company s financial health supports its long-term strategic goals. You ll lead and develop a team of five, driving accuracy, efficiency, and business insight across financial reporting, budgeting, forecasting, and compliance. Financial Controller Peterborough Salary: £40,000 - £50,000 DOE 25 days holiday plus bank, 5 % pension, Life Insurance and further opportunities to progress in the future. Key Responsibilities: Oversee all financial operations, including management accounts, financial reporting, budgeting, and forecasting Lead, mentor, and develop a finance team of four, promoting a high-performance culture Ensure timely and accurate month-end and year-end close processes Provide financial insight and support to senior leadership to inform key business decisions Maintain internal controls and ensure adherence to financial policies and procedures Liaise with external auditors, tax advisors, and regulatory bodies as required Drive process improvement and automation within the finance function Manage cash flow, working capital, and risk management Support strategic projects, including cost analysis and margin improvement initiatives Key Requirements: Fully qualified accountant (ACA, ACCA, CIMA or equivalent) Proven experience in a senior finance role, ideally within the packaging, manufacturing, or related industries Strong leadership and people management skills Commercially astute with excellent analytical and problem-solving capabilities Hands-on approach and comfortable working in a fast-paced, evolving environment Proficient in financial systems and Excel. Experience in SAGE. If you are interested in applying for this opportunity or wish to receive further information, please contact Sean Turton on (phone number removed) or email a copy of your current CV to (url removed) SER-IN
Jul 06, 2025
Full time
An exciting opportunity has arisen for an experienced Financial Controller to join a growing packaging business who are making strides in the packaging machinery & fresh produce sectors. This is a pivotal role within the finance team, responsible for overseeing all financial operations and ensuring the company s financial health supports its long-term strategic goals. You ll lead and develop a team of five, driving accuracy, efficiency, and business insight across financial reporting, budgeting, forecasting, and compliance. Financial Controller Peterborough Salary: £40,000 - £50,000 DOE 25 days holiday plus bank, 5 % pension, Life Insurance and further opportunities to progress in the future. Key Responsibilities: Oversee all financial operations, including management accounts, financial reporting, budgeting, and forecasting Lead, mentor, and develop a finance team of four, promoting a high-performance culture Ensure timely and accurate month-end and year-end close processes Provide financial insight and support to senior leadership to inform key business decisions Maintain internal controls and ensure adherence to financial policies and procedures Liaise with external auditors, tax advisors, and regulatory bodies as required Drive process improvement and automation within the finance function Manage cash flow, working capital, and risk management Support strategic projects, including cost analysis and margin improvement initiatives Key Requirements: Fully qualified accountant (ACA, ACCA, CIMA or equivalent) Proven experience in a senior finance role, ideally within the packaging, manufacturing, or related industries Strong leadership and people management skills Commercially astute with excellent analytical and problem-solving capabilities Hands-on approach and comfortable working in a fast-paced, evolving environment Proficient in financial systems and Excel. Experience in SAGE. If you are interested in applying for this opportunity or wish to receive further information, please contact Sean Turton on (phone number removed) or email a copy of your current CV to (url removed) SER-IN
Hays
Financial Controller of Operations
Hays Livingston, West Lothian
Financial Controller of Operations, Livingston, £40-50K Dependent on Experience Financial Controller of Operations - Manufacturing Sector Your new company A well-established and rapidly growing international manufacturer and distributor of environmental safety solutions. With multiple production and distribution sites across Europe and recent private equity backing, the business is undergoing significant transformation, particularly in the UK, where systems and processes are being modernised. Your new role As Financial Controller of Operations, you'll be based at a key UK manufacturing site, working closely with the UK Financial Controller and leading a team of four transactional finance staff. You'll play a pivotal role in improving financial processes, ensuring compliance, and supporting the wider business with financial insights. This is a hands-on role with a strong focus on cash management, VAT, payroll oversight, and business partnering with sales, purchasing, and group finance teams.Key responsibilities include: Managing and developing a team of 4 finance staff Overseeing UK payroll (outsourced), VAT returns, and bank reconciliations Managing the Invoice Discounting facility and short-term cash flow forecasting Supporting senior leadership with financial information and analysis Driving process improvements and supporting ERP system enhancements Assisting with external audits and regulatory reporting What you'll need to succeed Qualified accountant or QBE with strong operational finance experience Background in manufacturing or production environments (£20M+ turnover preferred) Solid knowledge of VAT, PAYE, payroll, and transactional finance Experience with Invoice Discounting and cash management A proactive, detail-oriented mindset with a passion for process improvement Strong communication skills and a collaborative approach to team development Comfortable working in a fast-paced, evolving environment What you'll get in return Competitive salary Hybrid working (4 days in office, 1 day from home) Flexible working options available Opportunity to make a real impact in a growing, PE-backed business Supportive team culture and career development opportunities What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.If this job isn't quite right for you but you are looking for a new position, please contact us for a confidential discussion on your career. #
Jul 06, 2025
Full time
Financial Controller of Operations, Livingston, £40-50K Dependent on Experience Financial Controller of Operations - Manufacturing Sector Your new company A well-established and rapidly growing international manufacturer and distributor of environmental safety solutions. With multiple production and distribution sites across Europe and recent private equity backing, the business is undergoing significant transformation, particularly in the UK, where systems and processes are being modernised. Your new role As Financial Controller of Operations, you'll be based at a key UK manufacturing site, working closely with the UK Financial Controller and leading a team of four transactional finance staff. You'll play a pivotal role in improving financial processes, ensuring compliance, and supporting the wider business with financial insights. This is a hands-on role with a strong focus on cash management, VAT, payroll oversight, and business partnering with sales, purchasing, and group finance teams.Key responsibilities include: Managing and developing a team of 4 finance staff Overseeing UK payroll (outsourced), VAT returns, and bank reconciliations Managing the Invoice Discounting facility and short-term cash flow forecasting Supporting senior leadership with financial information and analysis Driving process improvements and supporting ERP system enhancements Assisting with external audits and regulatory reporting What you'll need to succeed Qualified accountant or QBE with strong operational finance experience Background in manufacturing or production environments (£20M+ turnover preferred) Solid knowledge of VAT, PAYE, payroll, and transactional finance Experience with Invoice Discounting and cash management A proactive, detail-oriented mindset with a passion for process improvement Strong communication skills and a collaborative approach to team development Comfortable working in a fast-paced, evolving environment What you'll get in return Competitive salary Hybrid working (4 days in office, 1 day from home) Flexible working options available Opportunity to make a real impact in a growing, PE-backed business Supportive team culture and career development opportunities What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.If this job isn't quite right for you but you are looking for a new position, please contact us for a confidential discussion on your career. #
Hays Accounts and Finance
Interim group financial controller
Hays Accounts and Finance Bristol, Gloucestershire
The Senior Finance team at Hays Bristol is thrilled to be partnering with a dynamic, market-leading organisation to recruit for a newly created Group Financial Controller position. This exciting opportunity was created this month, following a successful acquisition, marking a pivotal moment in the company's growth journey. With a turnover of 30 million, the business is now seeking a commercially astute and strategic finance leader to work closely with the Managing Director, driving financial performance and shaping the future of the group. This role is being offered on an initial three-six month temporary basis, giving both the business and the successful candidate the opportunity to scope the role and ensure it's the right long-term fit. The client is looking for someone who can hit the ground running, ideally an experienced Financial Controller with a strong background in managing group-level finances. They're particularly interested in ambitious individuals who are looking to step up into a Group Finance Director role in the future-making this a fantastic springboard for the next stage of your career. Job description To oversee and be responsible for all financial and accountancy aspects of the Group, working with internal staff within the existing finance department, together with key external stakeholders. Key responsibilities: Financial and Accounting Operations: Oversee day-to-day operations across all sites for efficient and accurate systems and procedures. Financial Accounting and Reporting: Manage and produce financial statements for the Group and subsidiaries, consisting of; Monthly management accounts Statutory annual accounts Financial returns/reports Develop and supervise the implementation of internal financial accounting, monitoring and reporting systems. Budgets and Forecasts Produce and manage annual budgets and forecasts for use within the wider Group and external stakeholders (banking, audit) Financial Planning and Analysis Conducting financial analysis of business performance, providing insights to the directors to support shape strategic decisions. Provide advice to directors about financial decision-making. Compliance and Governance Take overall responsibility for the management of financial details to ensure legal obligations are met. Lead and be the point of contact for external advisors/stakeholders (VAT, HMRC, Corporation Tax). Key Attributes: Thorough and methodical attention to detail. Commercially astute. Ability to prioritise. Excellent presentation and communication skills. Analytical approach to work. Excellent problem-solving, negotiation skills and use of initiative. Positive and approachable. Sound technical skills. Essential Attributes: Qualified accountant from one of the following institutions:ACA/ACCA/CIMA/IFA/ICAEW) Excellent knowledge and experience of Sage. Experience of payroll (and ideally Earnie/Iris software). Experience of working within a complex group organisation with international links. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call Charles Maidment from the Hays Bristol senior finance team. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at (url removed)
Jul 05, 2025
Seasonal
The Senior Finance team at Hays Bristol is thrilled to be partnering with a dynamic, market-leading organisation to recruit for a newly created Group Financial Controller position. This exciting opportunity was created this month, following a successful acquisition, marking a pivotal moment in the company's growth journey. With a turnover of 30 million, the business is now seeking a commercially astute and strategic finance leader to work closely with the Managing Director, driving financial performance and shaping the future of the group. This role is being offered on an initial three-six month temporary basis, giving both the business and the successful candidate the opportunity to scope the role and ensure it's the right long-term fit. The client is looking for someone who can hit the ground running, ideally an experienced Financial Controller with a strong background in managing group-level finances. They're particularly interested in ambitious individuals who are looking to step up into a Group Finance Director role in the future-making this a fantastic springboard for the next stage of your career. Job description To oversee and be responsible for all financial and accountancy aspects of the Group, working with internal staff within the existing finance department, together with key external stakeholders. Key responsibilities: Financial and Accounting Operations: Oversee day-to-day operations across all sites for efficient and accurate systems and procedures. Financial Accounting and Reporting: Manage and produce financial statements for the Group and subsidiaries, consisting of; Monthly management accounts Statutory annual accounts Financial returns/reports Develop and supervise the implementation of internal financial accounting, monitoring and reporting systems. Budgets and Forecasts Produce and manage annual budgets and forecasts for use within the wider Group and external stakeholders (banking, audit) Financial Planning and Analysis Conducting financial analysis of business performance, providing insights to the directors to support shape strategic decisions. Provide advice to directors about financial decision-making. Compliance and Governance Take overall responsibility for the management of financial details to ensure legal obligations are met. Lead and be the point of contact for external advisors/stakeholders (VAT, HMRC, Corporation Tax). Key Attributes: Thorough and methodical attention to detail. Commercially astute. Ability to prioritise. Excellent presentation and communication skills. Analytical approach to work. Excellent problem-solving, negotiation skills and use of initiative. Positive and approachable. Sound technical skills. Essential Attributes: Qualified accountant from one of the following institutions:ACA/ACCA/CIMA/IFA/ICAEW) Excellent knowledge and experience of Sage. Experience of payroll (and ideally Earnie/Iris software). Experience of working within a complex group organisation with international links. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call Charles Maidment from the Hays Bristol senior finance team. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at (url removed)
Transaction Recruitment
Senior Management Accountant
Transaction Recruitment Perry Barr, Birmingham
About the Business A great opportunity to be a Senior Management Accountant for a significant business within the wholesale industry. This role is really varied giving you the chance to work in all aspects of the finance function. Main Duties: As a Senior Management Accountant, your main duties include: Support the testing and integration of a new system, ensuring key financial data such as customer invoices and cash transactions are successfully transferred to the accounting system. Oversee, manage, and track supplier rebates, including ongoing promotional offers and annual overriders of approximately 4m, working alongside the buying team to ensure all anticipated revenue is received. Be confident in questioning or challenging any inconsistencies with the buying team or suppliers. Record daily bank transactions and reconcile bank accounts. Process weekly supplier payments and handle ad-hoc payments as needed. Supervise the daily entry of customer invoices and cash transactions into the accounting system, ensuring accurate reconciliation of all amounts. Manage both AP and AR functions, overseeing the credit control process of approximately 1m, ensuring overdue accounts are actively pursued for payment. Assist the Financial Controller in producing monthly management accounts and reconciling balance sheet accounts. Provide day-to-day support, management, and development for the accounts team in collaboration with the FC. Reconcile VAT and duty payments, ensuring they are made within the required timeframe. Liaise with external auditors and support the year-end audit process. Build relationships with key financial and non-financial stakeholders, including operational staff. Develop and generate reports that aid the business in making informed commercial decisions. Continuously assess and enhance accounting processes and controls. Lead cost reduction initiatives across the business. Undertake various ad-hoc projects and responsibilities as required. Location / Office / Culture Their offices are located in Aston, where you will work alongside a great team. What We Are Looking For The ideal candidate will have: Qualified/Part Qualified with at least 5 years industry experience Proactive with ability to work using own initiative Business Partnering experience Good communication and people management skills Why Join the business Great Team Varied Role Opportunity to work in a large business About Us We are a local accountancy recruitment specialist. We appreciate that roles are often online for a long period of time. If you want to check if this role is still live or just want more details before applying, call us directly. Ref: KS48152
Jul 05, 2025
Full time
About the Business A great opportunity to be a Senior Management Accountant for a significant business within the wholesale industry. This role is really varied giving you the chance to work in all aspects of the finance function. Main Duties: As a Senior Management Accountant, your main duties include: Support the testing and integration of a new system, ensuring key financial data such as customer invoices and cash transactions are successfully transferred to the accounting system. Oversee, manage, and track supplier rebates, including ongoing promotional offers and annual overriders of approximately 4m, working alongside the buying team to ensure all anticipated revenue is received. Be confident in questioning or challenging any inconsistencies with the buying team or suppliers. Record daily bank transactions and reconcile bank accounts. Process weekly supplier payments and handle ad-hoc payments as needed. Supervise the daily entry of customer invoices and cash transactions into the accounting system, ensuring accurate reconciliation of all amounts. Manage both AP and AR functions, overseeing the credit control process of approximately 1m, ensuring overdue accounts are actively pursued for payment. Assist the Financial Controller in producing monthly management accounts and reconciling balance sheet accounts. Provide day-to-day support, management, and development for the accounts team in collaboration with the FC. Reconcile VAT and duty payments, ensuring they are made within the required timeframe. Liaise with external auditors and support the year-end audit process. Build relationships with key financial and non-financial stakeholders, including operational staff. Develop and generate reports that aid the business in making informed commercial decisions. Continuously assess and enhance accounting processes and controls. Lead cost reduction initiatives across the business. Undertake various ad-hoc projects and responsibilities as required. Location / Office / Culture Their offices are located in Aston, where you will work alongside a great team. What We Are Looking For The ideal candidate will have: Qualified/Part Qualified with at least 5 years industry experience Proactive with ability to work using own initiative Business Partnering experience Good communication and people management skills Why Join the business Great Team Varied Role Opportunity to work in a large business About Us We are a local accountancy recruitment specialist. We appreciate that roles are often online for a long period of time. If you want to check if this role is still live or just want more details before applying, call us directly. Ref: KS48152
Management Accountant - Luxury Retailer
Wayman Group
Role: Management Accountant - Luxury Retailer Location: Central London (hybrid working) The Role: This role is working for a very exciting and fast-growing Luxury retailer business with a brilliant brand in the sector and exciting strategy for the future. They are hiring for an exciting Management Accountant opportunity reporting directly to the Financial Controller. You will be a core member of the wider finance team and play a key part in supporting and strengthening the management accounting function. You will be responsible for the management accounting within the fastest growing division in the organisation. You will be working with various stakeholders across the business, supporting them with analysis of budgets vs actuals. There is also a clear path for progression and a great opportunity to manage two other individuals within the team plus excellent salary, bonus and benefits. Role and Responsibilities: Coordinate the month end process and maintain the monthly management accounts pack, ensuring accurate reporting in accordance with applicable accounting standards Play a key role in the year end statutory audit, including assisting in the preparation of UK subsidiary and Group accounts Provide coaching to other team members as and when required. Preparation of bank reporting as required, for example covenant calculations Preparation and posting of month end accruals, prepayments and other journals. Manage and maintain the Fixed Asset Register. Communicating with the commercial finance team to understand current and committed spend for key areas of the business. Maintain the balance sheet lead schedule of account reconciliations Candidate Requirements: Qualified accountant (ACA, ACCA, CIMA or overseas Equivalent) - ideally 0-2 years PQE Experience working within a retail business is desirable Experience of dealing with large amounts of data (segmentation and reporting on data sets) Good experience of seeking and implementing ways to improve on current practice Experience of IFRS is desirable Excellent communication skills and confidence in partnering with stakeholders Confident in identifying, resolving, and escalating key points and issues Company Information Wayman Finance is a specialist recruitment agency with over 20 years' experience within the Finance field. We've worked hard to establish our reputation with our clients as one of the most reliable Finance and Accounting agencies in London through our core values of honesty and customer excellence. Application To be considered for this Management Accountant position please forward a CV as soon as possible
Jul 05, 2025
Full time
Role: Management Accountant - Luxury Retailer Location: Central London (hybrid working) The Role: This role is working for a very exciting and fast-growing Luxury retailer business with a brilliant brand in the sector and exciting strategy for the future. They are hiring for an exciting Management Accountant opportunity reporting directly to the Financial Controller. You will be a core member of the wider finance team and play a key part in supporting and strengthening the management accounting function. You will be responsible for the management accounting within the fastest growing division in the organisation. You will be working with various stakeholders across the business, supporting them with analysis of budgets vs actuals. There is also a clear path for progression and a great opportunity to manage two other individuals within the team plus excellent salary, bonus and benefits. Role and Responsibilities: Coordinate the month end process and maintain the monthly management accounts pack, ensuring accurate reporting in accordance with applicable accounting standards Play a key role in the year end statutory audit, including assisting in the preparation of UK subsidiary and Group accounts Provide coaching to other team members as and when required. Preparation of bank reporting as required, for example covenant calculations Preparation and posting of month end accruals, prepayments and other journals. Manage and maintain the Fixed Asset Register. Communicating with the commercial finance team to understand current and committed spend for key areas of the business. Maintain the balance sheet lead schedule of account reconciliations Candidate Requirements: Qualified accountant (ACA, ACCA, CIMA or overseas Equivalent) - ideally 0-2 years PQE Experience working within a retail business is desirable Experience of dealing with large amounts of data (segmentation and reporting on data sets) Good experience of seeking and implementing ways to improve on current practice Experience of IFRS is desirable Excellent communication skills and confidence in partnering with stakeholders Confident in identifying, resolving, and escalating key points and issues Company Information Wayman Finance is a specialist recruitment agency with over 20 years' experience within the Finance field. We've worked hard to establish our reputation with our clients as one of the most reliable Finance and Accounting agencies in London through our core values of honesty and customer excellence. Application To be considered for this Management Accountant position please forward a CV as soon as possible
Remarkable Jobs
Financial Controller
Remarkable Jobs Blackburn, Lancashire
Financial Controller - Industrial Property Finance Salary: £50,000 - £75,000 (Depending on experience) + Excellent Benefits Hours: Full-time, Monday to Friday (Office-based) Work Location: In person Full time / Permanent Remarkable Jobs are recruiting on behalf of a thriving and ambitious commercial property and industrial estate management company . Specialising in the acquisition, management, and operation of multi-tenanted industrial units and commercial sites, the company is experiencing rapid growth across its UK portfolio. Due to internal progression and continued expansion, they are now seeking a commercially astute Financial Controller to join their finance team in Blackburn. This is a hands-on, senior finance role reporting directly to the Finance Director. Financial Controller Role: As the Financial Controller , you will lead the day-to-day finance function, ensuring accurate financial reporting, robust internal controls, and strong commercial insight across the property portfolio. You will work closely with the Finance Director, supporting strategic planning and decision-making, while also managing a small team of Accountants and Assistants. Financial Controller Key Responsibilities: Oversee all aspects of financial operations for a portfolio of industrial and commercial properties. Produce monthly management accounts, cashflow forecasts, and board packs. Ensure accurate rent, service charge, and utility accounting across all sites. Take responsibility for year-end financial statements, audits, and statutory compliance. Monitor financial performance and provide commercial insight to the FD and wider business. Implement and maintain robust financial controls and policies. Lead and mentor a small finance team including Accountants and Purchase Ledger staff. Manage VAT submissions, insurance reconciliations, and service charge audits. Work with property managers and directors to support asset performance and investment decisions. What They Are Looking For: Essential: Fully qualified accountant (ACCA / CIMA / ACA) OR relevant work experience Proven experience in a Financial Controller or senior accounting role. Strong background in commercial property or industrial estate finance . Experience with rent, service charge, and lease-based accounting. High level of commercial acumen and attention to detail. Excellent Excel skills and proficiency with Sage 50 or similar accounting software. Desirable: Experience in a fast-growing or multi-entity environment. Knowledge of property management software or systems. Experience supporting external audits and working closely with Managing Directors or property investors. Financial Controller Key Attributes: Hands-on and commercially minded. Strong leadership and people management skills. Highly organised and deadline driven. Confident communicator with the ability to present financial information clearly. Benefits Include: Company bonus scheme Pension contribution Free on-site parking Clear progression into senior leadership Office-based, Monday to Friday (no weekend work) If you're an experienced Financial Controller with a background in industrial property finance , and you're looking to take the next step in a growing business - we'd love to hear from you. Apply now!
Jul 05, 2025
Full time
Financial Controller - Industrial Property Finance Salary: £50,000 - £75,000 (Depending on experience) + Excellent Benefits Hours: Full-time, Monday to Friday (Office-based) Work Location: In person Full time / Permanent Remarkable Jobs are recruiting on behalf of a thriving and ambitious commercial property and industrial estate management company . Specialising in the acquisition, management, and operation of multi-tenanted industrial units and commercial sites, the company is experiencing rapid growth across its UK portfolio. Due to internal progression and continued expansion, they are now seeking a commercially astute Financial Controller to join their finance team in Blackburn. This is a hands-on, senior finance role reporting directly to the Finance Director. Financial Controller Role: As the Financial Controller , you will lead the day-to-day finance function, ensuring accurate financial reporting, robust internal controls, and strong commercial insight across the property portfolio. You will work closely with the Finance Director, supporting strategic planning and decision-making, while also managing a small team of Accountants and Assistants. Financial Controller Key Responsibilities: Oversee all aspects of financial operations for a portfolio of industrial and commercial properties. Produce monthly management accounts, cashflow forecasts, and board packs. Ensure accurate rent, service charge, and utility accounting across all sites. Take responsibility for year-end financial statements, audits, and statutory compliance. Monitor financial performance and provide commercial insight to the FD and wider business. Implement and maintain robust financial controls and policies. Lead and mentor a small finance team including Accountants and Purchase Ledger staff. Manage VAT submissions, insurance reconciliations, and service charge audits. Work with property managers and directors to support asset performance and investment decisions. What They Are Looking For: Essential: Fully qualified accountant (ACCA / CIMA / ACA) OR relevant work experience Proven experience in a Financial Controller or senior accounting role. Strong background in commercial property or industrial estate finance . Experience with rent, service charge, and lease-based accounting. High level of commercial acumen and attention to detail. Excellent Excel skills and proficiency with Sage 50 or similar accounting software. Desirable: Experience in a fast-growing or multi-entity environment. Knowledge of property management software or systems. Experience supporting external audits and working closely with Managing Directors or property investors. Financial Controller Key Attributes: Hands-on and commercially minded. Strong leadership and people management skills. Highly organised and deadline driven. Confident communicator with the ability to present financial information clearly. Benefits Include: Company bonus scheme Pension contribution Free on-site parking Clear progression into senior leadership Office-based, Monday to Friday (no weekend work) If you're an experienced Financial Controller with a background in industrial property finance , and you're looking to take the next step in a growing business - we'd love to hear from you. Apply now!
Hays
Financial Controller
Hays
Financial Controller, Finance Manager, Group Accountant Your new company . A unique career defining organisation are recruiting a Senior Finance Manager / Financial Controller. You will join an elite Finance Team and join them as they help grow and develop this award-winning, sustainable leading employer. Based in smart offices in West London, (4 days in the offices, 1 from home) you will get mentioned and work closely with a passionate Group Finance Director who will help your career thrive. This business operates globally but are building a group function in West London, which you will play a key part in. Your new role . This Financial Controller role is truly diverse, and a brand-new role. You will take responsibility for various traditional financial control duties, including month-end, financial and management accounts. However, you will also support in FP&A, modelling and help create various reports needed by their funders. You may also get involved in supporting corporate finance activities, but you could also have to roll up your sleeves and do a bank reconciliation. You will be supported by the Head of Finance and Group Finance Director, but also have direct access to the CFO. This employer offers plenty of scope for progression, promotion and development, you will just need a 'can do' open-minded approach. What you'll need to succeed . You will be an ACCA, ACA and CIMA Qualified Accountant keen on a unique challenge. You will have worked either within practice or PE-backed businesses. You will be ambitious, however flexible and adaptable. Comfortable working 4 days in the office, 1 from home. What you'll get in return . Salary level of £70,000 to £90,000 plus a 10% bonus. Opportunity for rapid career development. Trained by an excellent Group FD, and CFO. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career. #
Jul 05, 2025
Full time
Financial Controller, Finance Manager, Group Accountant Your new company . A unique career defining organisation are recruiting a Senior Finance Manager / Financial Controller. You will join an elite Finance Team and join them as they help grow and develop this award-winning, sustainable leading employer. Based in smart offices in West London, (4 days in the offices, 1 from home) you will get mentioned and work closely with a passionate Group Finance Director who will help your career thrive. This business operates globally but are building a group function in West London, which you will play a key part in. Your new role . This Financial Controller role is truly diverse, and a brand-new role. You will take responsibility for various traditional financial control duties, including month-end, financial and management accounts. However, you will also support in FP&A, modelling and help create various reports needed by their funders. You may also get involved in supporting corporate finance activities, but you could also have to roll up your sleeves and do a bank reconciliation. You will be supported by the Head of Finance and Group Finance Director, but also have direct access to the CFO. This employer offers plenty of scope for progression, promotion and development, you will just need a 'can do' open-minded approach. What you'll need to succeed . You will be an ACCA, ACA and CIMA Qualified Accountant keen on a unique challenge. You will have worked either within practice or PE-backed businesses. You will be ambitious, however flexible and adaptable. Comfortable working 4 days in the office, 1 from home. What you'll get in return . Salary level of £70,000 to £90,000 plus a 10% bonus. Opportunity for rapid career development. Trained by an excellent Group FD, and CFO. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career. #
Financial Controller - Leading Law Firm
TSR Legal Cheltenham, Gloucestershire
Financial Controller - Leading Law Firm Salary: Competitive + Benefits Full-Time Hybrid Working Available A well-established and highly regarded law firm is seeking an experienced Financial Controller to join their senior team. This is a pivotal leadership role responsible for managing all financial aspects of the business and supporting strategic decision-making at the highest level. This position offers a fantastic opportunity for a finance professional with a strong background in the legal or professional services sector to take ownership of financial operations, drive efficiencies, and add commercial value across the practice. The Role Reporting directly to the Managing Director and Equity Partners, you will: Oversee day-to-day financial operations, including cashflow, forecasting, reconciliations, and reporting Lead and develop the finance team, setting clear objectives and fostering continuous improvement Prepare monthly and annual management accounts, budget forecasts, and financial packs Ensure compliance with accounting standards, tax regulations, VAT, and AML protocols Support senior leadership with insightful financial analysis to guide strategic decisions Liaise with external accountants, auditors, and regulatory bodies Improve financial processes and reporting structures to drive performance and profitability Provide financial clarity across all departments, adapting communication for non-finance stakeholders Key Requirements Proven experience in a Financial Controller or senior finance role within a law firm or regulated professional services environment Fully qualified accountant (ACCA / ACA / CIMA or equivalent) Deep understanding of financial reporting, forecasting, cash flow and budgeting Knowledge of compliance, AML, and VAT regulations relevant to the legal sector Strong leadership and mentoring skills with experience managing a finance team Commercially astute with the ability to translate financial data into actionable business insights Advanced Excel skills and familiarity with legal practice management systems Excellent communication and stakeholder engagement skills Why Apply? Join a progressive and supportive leadership team in a respected firm Hybrid working model and excellent work-life balance Opportunity to shape the financial future of a dynamic legal business Long-term career progression and continued professional development Competitive salary and comprehensive benefits package Contact Rachel Phillips, Associate Director in confidence on / or apply below:
Jul 05, 2025
Full time
Financial Controller - Leading Law Firm Salary: Competitive + Benefits Full-Time Hybrid Working Available A well-established and highly regarded law firm is seeking an experienced Financial Controller to join their senior team. This is a pivotal leadership role responsible for managing all financial aspects of the business and supporting strategic decision-making at the highest level. This position offers a fantastic opportunity for a finance professional with a strong background in the legal or professional services sector to take ownership of financial operations, drive efficiencies, and add commercial value across the practice. The Role Reporting directly to the Managing Director and Equity Partners, you will: Oversee day-to-day financial operations, including cashflow, forecasting, reconciliations, and reporting Lead and develop the finance team, setting clear objectives and fostering continuous improvement Prepare monthly and annual management accounts, budget forecasts, and financial packs Ensure compliance with accounting standards, tax regulations, VAT, and AML protocols Support senior leadership with insightful financial analysis to guide strategic decisions Liaise with external accountants, auditors, and regulatory bodies Improve financial processes and reporting structures to drive performance and profitability Provide financial clarity across all departments, adapting communication for non-finance stakeholders Key Requirements Proven experience in a Financial Controller or senior finance role within a law firm or regulated professional services environment Fully qualified accountant (ACCA / ACA / CIMA or equivalent) Deep understanding of financial reporting, forecasting, cash flow and budgeting Knowledge of compliance, AML, and VAT regulations relevant to the legal sector Strong leadership and mentoring skills with experience managing a finance team Commercially astute with the ability to translate financial data into actionable business insights Advanced Excel skills and familiarity with legal practice management systems Excellent communication and stakeholder engagement skills Why Apply? Join a progressive and supportive leadership team in a respected firm Hybrid working model and excellent work-life balance Opportunity to shape the financial future of a dynamic legal business Long-term career progression and continued professional development Competitive salary and comprehensive benefits package Contact Rachel Phillips, Associate Director in confidence on / or apply below:
Michael Page
Legal Entity Controller (VP and Senior AVP levels) - Brokerage
Michael Page City, London
Legal Entity Controller (VP and Senior AVP levels) - Brokerage Annual financial statements for a number of entities. Key notes to the Group Annual and Quarterly Reports Monthly analytical review on legal entity income statement and balance sheet Balance sheet substantiation and intercompany reconciliations IFRS, FRS 102, US GAAP, SOX Investment Banks, Brokerage, Capital Markets audits Client Details Global securities and commodities broker with a sound balance sheet and growth. A well led firm, non-political, collegiate feel. Great career prospects and people ! Description Legal Entity Controller (VP and Senior AVP levels) - Brokerage Banking & Financial Services City of London (hybrid 3 days as week in the office) Annual financial statements for a number of entities Key notes to the Group Annual and Quarterly Reports Monthly analytical review on legal entity income statement and balance sheet Month end, management reports, transfer pricing calculations Balance sheet substantiation and intercompany reconciliations Ad-hoc enquiries from external auditors Integration of new acquisitions IFRS, FRS 102, US GAAP, SOX Big 4 FS Investment Banks, Brokerage, Capital Markets audit clients ACA or equivalent Accounting Qualification Profile Legal Entity Controller (VP and Senior AVP levels) - Brokerage Banking & Financial Services City of London (hybrid 3 days as week in the office) Big 4 audit background is preferred but not essential Group accounting (departments/business units) and reconciliation experience (transfer pricing / intercompany / cross charging) Qualified Accountant Job Offer Base 85,000 to 105,000 Exceptional company benefits package Great people, strong career progression Competitive bonus scheme
Jul 04, 2025
Full time
Legal Entity Controller (VP and Senior AVP levels) - Brokerage Annual financial statements for a number of entities. Key notes to the Group Annual and Quarterly Reports Monthly analytical review on legal entity income statement and balance sheet Balance sheet substantiation and intercompany reconciliations IFRS, FRS 102, US GAAP, SOX Investment Banks, Brokerage, Capital Markets audits Client Details Global securities and commodities broker with a sound balance sheet and growth. A well led firm, non-political, collegiate feel. Great career prospects and people ! Description Legal Entity Controller (VP and Senior AVP levels) - Brokerage Banking & Financial Services City of London (hybrid 3 days as week in the office) Annual financial statements for a number of entities Key notes to the Group Annual and Quarterly Reports Monthly analytical review on legal entity income statement and balance sheet Month end, management reports, transfer pricing calculations Balance sheet substantiation and intercompany reconciliations Ad-hoc enquiries from external auditors Integration of new acquisitions IFRS, FRS 102, US GAAP, SOX Big 4 FS Investment Banks, Brokerage, Capital Markets audit clients ACA or equivalent Accounting Qualification Profile Legal Entity Controller (VP and Senior AVP levels) - Brokerage Banking & Financial Services City of London (hybrid 3 days as week in the office) Big 4 audit background is preferred but not essential Group accounting (departments/business units) and reconciliation experience (transfer pricing / intercompany / cross charging) Qualified Accountant Job Offer Base 85,000 to 105,000 Exceptional company benefits package Great people, strong career progression Competitive bonus scheme
Pembrook Resourcing
Dealership Accountant
Pembrook Resourcing Edinburgh, Midlothian
Dealership Accountant Pembrook Resourcing are currently recruiting on behalf of their client a dealership accountant to join one of their groups. Dealership Accountant Responsibilities - To always safeguard the assets of the company by ensuring that the Accounts and Sales Administration team are competent in their roles, understand their responsibilities and follow the procedures and guidelines set down by the Group Work as part of the senior management team to formulate strategies, plans and actions to deliver industry leading profitability To lead and motivate the Accounts and Sales Administration team Preparation of monthly balance sheet reconciliations and management accounts Prepare and submit manufacturer composites to the highest standard Support the Head of Business and Departmental Managers on a weekly basis to prepare the DOC forecast for submission to the Directors Control and review working capital on a regular basis, ensure the business is working within the Groups guidelines and to have monthly reviews with the Head of Business Review and sign off monthly payment run for the PL and Salaries Assist with the Preparation of annual budgets along with the Group Financial Controller Maintain and administer the DMS system (CDK Drive) To support the Group Payroll Administrator as required Prepare quarterly VAT returns Prepare P11D and other statutory returns for review Audit preparation and management of annual audit Dealership Accountant Requirements - Being able to lead, motivate and direct the Accounts and Sales Administration teams Highly competent, preferably qualified accountant Able to step back, challenge the status quo to identify and support the implementation of practical actions to reduce waste, cut costs and improve performance To command the respect of and be able to influence the Senior Management Team of the business to support our vision to deliver industry leading profitability IT IS VERY IMPORTANT TO INCLUDE CORRECT CONTACT DETAILS, SO WE CAN CONTACT YOU REGARDING THE APPLICATION MADE! We wish you the best of luck!
Jul 04, 2025
Full time
Dealership Accountant Pembrook Resourcing are currently recruiting on behalf of their client a dealership accountant to join one of their groups. Dealership Accountant Responsibilities - To always safeguard the assets of the company by ensuring that the Accounts and Sales Administration team are competent in their roles, understand their responsibilities and follow the procedures and guidelines set down by the Group Work as part of the senior management team to formulate strategies, plans and actions to deliver industry leading profitability To lead and motivate the Accounts and Sales Administration team Preparation of monthly balance sheet reconciliations and management accounts Prepare and submit manufacturer composites to the highest standard Support the Head of Business and Departmental Managers on a weekly basis to prepare the DOC forecast for submission to the Directors Control and review working capital on a regular basis, ensure the business is working within the Groups guidelines and to have monthly reviews with the Head of Business Review and sign off monthly payment run for the PL and Salaries Assist with the Preparation of annual budgets along with the Group Financial Controller Maintain and administer the DMS system (CDK Drive) To support the Group Payroll Administrator as required Prepare quarterly VAT returns Prepare P11D and other statutory returns for review Audit preparation and management of annual audit Dealership Accountant Requirements - Being able to lead, motivate and direct the Accounts and Sales Administration teams Highly competent, preferably qualified accountant Able to step back, challenge the status quo to identify and support the implementation of practical actions to reduce waste, cut costs and improve performance To command the respect of and be able to influence the Senior Management Team of the business to support our vision to deliver industry leading profitability IT IS VERY IMPORTANT TO INCLUDE CORRECT CONTACT DETAILS, SO WE CAN CONTACT YOU REGARDING THE APPLICATION MADE! We wish you the best of luck!
Hays
Financial Controller (Hospitality Sector)
Hays
FINANCIAL CONTROLLER - HOSPITALITY GROUP - £65-75K Your new company My client is seeking a commercially minded Finance Controller to lead day-to-day financial operations across their UK and international venues. Reporting to the Finance Director, you'll play a key role in budgeting, forecasting, reporting, and compliance-while partnering with operations to drive performance and profitability. Your new role Lead financial operations, controls, and reporting across all venues Deliver monthly management accounts and board packs Manage budgeting, forecasting, and VAT returns Partner with venue and department heads to improve margins and cost control Ensure compliance with UK and international financial regulations Oversee cash controls, revenue recognition, and cost accuracy Support audit processes and drive system/process improvements Mentor and develop a high-performing finance team What you'll need to succeed Qualified accountant (ACCA/CIMA or equivalent)Experience in hospitality, events, or a fast-paced, scaling businessStrong financial analysis and reporting skillsProficiency in Excel and accounting systems (SAP or similar)Excellent communication and stakeholder managementOrganised, detail-oriented, and confident managing multiple priorities What you'll get in return You'll be joining an exciting company that is well-known and highly regarded, working within a company that will support your growth and development. This company offers a great list of benefits, as well as a competitive salary of £60-75k DOE. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV to , or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. #
Jul 04, 2025
Full time
FINANCIAL CONTROLLER - HOSPITALITY GROUP - £65-75K Your new company My client is seeking a commercially minded Finance Controller to lead day-to-day financial operations across their UK and international venues. Reporting to the Finance Director, you'll play a key role in budgeting, forecasting, reporting, and compliance-while partnering with operations to drive performance and profitability. Your new role Lead financial operations, controls, and reporting across all venues Deliver monthly management accounts and board packs Manage budgeting, forecasting, and VAT returns Partner with venue and department heads to improve margins and cost control Ensure compliance with UK and international financial regulations Oversee cash controls, revenue recognition, and cost accuracy Support audit processes and drive system/process improvements Mentor and develop a high-performing finance team What you'll need to succeed Qualified accountant (ACCA/CIMA or equivalent)Experience in hospitality, events, or a fast-paced, scaling businessStrong financial analysis and reporting skillsProficiency in Excel and accounting systems (SAP or similar)Excellent communication and stakeholder managementOrganised, detail-oriented, and confident managing multiple priorities What you'll get in return You'll be joining an exciting company that is well-known and highly regarded, working within a company that will support your growth and development. This company offers a great list of benefits, as well as a competitive salary of £60-75k DOE. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV to , or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. #
ASH Consulting
Company Accountant
ASH Consulting Ecclesfield, Sheffield
Financial Controller Sheffield Permanent - £Neg Mon to Fri with some flexibility on hours Our client is a small well-established family business who require the skills of an experienced accounts all-rounder to manage day to day site finance matters with some company secretarial duties. Duties will include but are not limited to: • All day to day bookkeeping functions-sales/ purchase ledgers, credit control, bank reconciliations. • Supplier payment runs • VAT Returns • Weekly payroll (Around 20 staff) • General office support duties • Company Secretarial duties as needed • Liaison with off-site accounts support team Ideally applicants should be at least part qualified to AAT level, with a good understanding of accounting and bookkeeping procedures, QBE will also be considered. The successful candidate should have previous experience using Xero and/or Sage in a similar role. With a professional manner and high attention to detail, you will be self-motivated with the ability to work independently and to tight deadlines. With strong organisation and time management skills you should in addition possess solid communication skills and you will ideally have knowledge of working within a small business environment. On offer is a good salary along with some flexibility around hours but is site based 5 days a week Monday to Friday. If you feel you have the necessary skills and experience to be successful in this role, click on "APPLY" today, forwarding an up-to-date copy of your CV for consideration in the first instance. Ash Consulting acts as an employment agency for permanent and fixed term contract recruitment and as an employment business for the supply of temporary workers.
Jul 04, 2025
Full time
Financial Controller Sheffield Permanent - £Neg Mon to Fri with some flexibility on hours Our client is a small well-established family business who require the skills of an experienced accounts all-rounder to manage day to day site finance matters with some company secretarial duties. Duties will include but are not limited to: • All day to day bookkeeping functions-sales/ purchase ledgers, credit control, bank reconciliations. • Supplier payment runs • VAT Returns • Weekly payroll (Around 20 staff) • General office support duties • Company Secretarial duties as needed • Liaison with off-site accounts support team Ideally applicants should be at least part qualified to AAT level, with a good understanding of accounting and bookkeeping procedures, QBE will also be considered. The successful candidate should have previous experience using Xero and/or Sage in a similar role. With a professional manner and high attention to detail, you will be self-motivated with the ability to work independently and to tight deadlines. With strong organisation and time management skills you should in addition possess solid communication skills and you will ideally have knowledge of working within a small business environment. On offer is a good salary along with some flexibility around hours but is site based 5 days a week Monday to Friday. If you feel you have the necessary skills and experience to be successful in this role, click on "APPLY" today, forwarding an up-to-date copy of your CV for consideration in the first instance. Ash Consulting acts as an employment agency for permanent and fixed term contract recruitment and as an employment business for the supply of temporary workers.
Hays
Senior Management Accountant
Hays City, London
Qualified Senior Management Accountant to join a PE-backed technology business in London Your new company I'm currently partnered with a private equity-backed technology business based in central London, seeking to hire a Senior Management Accountant into their growing and dynamic finance team. This role reports directly to the Financial Controller and works closely with the CFO, playing a key role in overseeing day-to-day controllership activities, financial operations, and contributing to the continued development of a high-performing finance function. Your new role As a Senior Management Accountant, your key duties will involve: preparation of monthly management accounts balance sheet analysis preparation of Board and Investor reporting management of two juniors support the business with a future exit by developing and maintaining high-quality reports What you'll need to succeed ACA / CIMA /ACCA (or equivalent) Industry experience Revenue recognition Ability to work in a PE-backed environment What you'll get in return This is a fantastic time to join the business, which is currently undergoing an exciting transition following the appointment of a new CEO with a proven track record of driving profitability and preparing companies for strategic exits. In this role, you'll have the opportunity to lead the management accounts team, manage two direct reports, and play a key part in shaping financial operations. It offers a clear path for progression to Financial Controller level, making it an excellent move for someone looking to step up and take on broader leadership responsibility. Apply for more details. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call Nicolette now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. #
Jul 04, 2025
Full time
Qualified Senior Management Accountant to join a PE-backed technology business in London Your new company I'm currently partnered with a private equity-backed technology business based in central London, seeking to hire a Senior Management Accountant into their growing and dynamic finance team. This role reports directly to the Financial Controller and works closely with the CFO, playing a key role in overseeing day-to-day controllership activities, financial operations, and contributing to the continued development of a high-performing finance function. Your new role As a Senior Management Accountant, your key duties will involve: preparation of monthly management accounts balance sheet analysis preparation of Board and Investor reporting management of two juniors support the business with a future exit by developing and maintaining high-quality reports What you'll need to succeed ACA / CIMA /ACCA (or equivalent) Industry experience Revenue recognition Ability to work in a PE-backed environment What you'll get in return This is a fantastic time to join the business, which is currently undergoing an exciting transition following the appointment of a new CEO with a proven track record of driving profitability and preparing companies for strategic exits. In this role, you'll have the opportunity to lead the management accounts team, manage two direct reports, and play a key part in shaping financial operations. It offers a clear path for progression to Financial Controller level, making it an excellent move for someone looking to step up and take on broader leadership responsibility. Apply for more details. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call Nicolette now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. #
Hays
Financial Controller/Company Secretary
Hays
Company Secretary, Financial Controller, Business Partner, Stoke-on-Trent Your new company Our client is a well-established and successful manufacturing company based in Stoke-on-Trent, known for its commitment to quality, innovation, and operational excellence. As the business continues to grow, they are seeking a dynamic and commercially minded Company Secretary / Financial Controller to join their leadership team. Your new role This is a senior leadership position that combines financial control, company secretarial duties, HR, IT, and operational oversight. You'll act as a strategic business partner to the Managing Director, contributing to both high-level decision-making and day-to-day operations. This is a hands-on role ideal for a qualified accountant with a strong commercial mindset and a background in manufacturing. Key Responsibilities Lead financial operations including budgeting, forecasting, and reporting Prepare management accounts, statutory year-end accounts, and group reporting Oversee payroll, pensions, audits, and tax compliance Maintain internal controls and financial policies Manage statutory records, board meetings, and corporate governance Oversee HR functions including recruitment, employee relations, and compliance Liaise with IT providers to ensure infrastructure reliability and data protection Support strategic decision-making and cross-functional collaboration What you'll need to succeed Qualified Accountant (ACCA, CIMA, or equivalent) Proven experience in a senior finance role, preferably in manufacturing Strong knowledge of UK accounting standards, company law, HR practices, and IT systems Experience with IRIS Exchequer accounting software Excellent leadership, communication, and problem-solving skills High level of integrity, discretion, and attention to detail Ability to act as a trusted business partner to senior leadership What you'll get in return 26 days annual leave plus 8 bank holidays Private healthcare including family cover Pension scheme with 3% employer contribution (employee contribution varies by age) Opportunity to play a key role in shaping the future of the business Collaborative and supportive working environment What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. #
Jul 04, 2025
Full time
Company Secretary, Financial Controller, Business Partner, Stoke-on-Trent Your new company Our client is a well-established and successful manufacturing company based in Stoke-on-Trent, known for its commitment to quality, innovation, and operational excellence. As the business continues to grow, they are seeking a dynamic and commercially minded Company Secretary / Financial Controller to join their leadership team. Your new role This is a senior leadership position that combines financial control, company secretarial duties, HR, IT, and operational oversight. You'll act as a strategic business partner to the Managing Director, contributing to both high-level decision-making and day-to-day operations. This is a hands-on role ideal for a qualified accountant with a strong commercial mindset and a background in manufacturing. Key Responsibilities Lead financial operations including budgeting, forecasting, and reporting Prepare management accounts, statutory year-end accounts, and group reporting Oversee payroll, pensions, audits, and tax compliance Maintain internal controls and financial policies Manage statutory records, board meetings, and corporate governance Oversee HR functions including recruitment, employee relations, and compliance Liaise with IT providers to ensure infrastructure reliability and data protection Support strategic decision-making and cross-functional collaboration What you'll need to succeed Qualified Accountant (ACCA, CIMA, or equivalent) Proven experience in a senior finance role, preferably in manufacturing Strong knowledge of UK accounting standards, company law, HR practices, and IT systems Experience with IRIS Exchequer accounting software Excellent leadership, communication, and problem-solving skills High level of integrity, discretion, and attention to detail Ability to act as a trusted business partner to senior leadership What you'll get in return 26 days annual leave plus 8 bank holidays Private healthcare including family cover Pension scheme with 3% employer contribution (employee contribution varies by age) Opportunity to play a key role in shaping the future of the business Collaborative and supportive working environment What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. #
Hays
Financial Controller (Renewable Energy)
Hays
A private renewable energy business are looking for a Financial Controller Your new company A really exciting sustainability focused renewables business with a growing brand and a focus on the circular economy market. The company have completed financial close on several projects and are revenue generating, delivering a business model that can scale massively in next few years. They are also well backed by a large group giving long term stability. Your new role You will be working in a senior UK focused role with broad ownership for establishing and developing first class financial reporting processes as well as commercial analysis of project and portfolio performance. Duties Ownership of reporting for portfolio Liaison with board and presentation of financials on a monthly basis Strategic process implementation and development of commercial finance strategy Management and ongoing development of the finance team What you'll need to succeed You will need to be a qualified accountant (ACA, ACCA) with understanding or background in energy or a high growth business. It is important to have experience in a industry and the ability to develop processes in a high growth environment. Ability to take ownership for senior level presentations including the board is essential. What you'll get in return You will get to be part of this business during a significant period of growth and development. The company are diversifying their portfolio and seek candidates with desire to progress their long term career with this business. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you but you are looking for a new position, please contact us for a confidential discussion on your career. #
Jul 03, 2025
Full time
A private renewable energy business are looking for a Financial Controller Your new company A really exciting sustainability focused renewables business with a growing brand and a focus on the circular economy market. The company have completed financial close on several projects and are revenue generating, delivering a business model that can scale massively in next few years. They are also well backed by a large group giving long term stability. Your new role You will be working in a senior UK focused role with broad ownership for establishing and developing first class financial reporting processes as well as commercial analysis of project and portfolio performance. Duties Ownership of reporting for portfolio Liaison with board and presentation of financials on a monthly basis Strategic process implementation and development of commercial finance strategy Management and ongoing development of the finance team What you'll need to succeed You will need to be a qualified accountant (ACA, ACCA) with understanding or background in energy or a high growth business. It is important to have experience in a industry and the ability to develop processes in a high growth environment. Ability to take ownership for senior level presentations including the board is essential. What you'll get in return You will get to be part of this business during a significant period of growth and development. The company are diversifying their portfolio and seek candidates with desire to progress their long term career with this business. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you but you are looking for a new position, please contact us for a confidential discussion on your career. #
Hays
Assistant Management Accountant
Hays City, London
Management Accountant Hybrid London £45k - £55k On-going Temp Role Your new company I am working with a leading telecommunications company based in the City of London, dedicated to providing innovative and reliable communication solutions to our clients. Their team is passionate about technology and committed to delivering exceptional service. They are looking for a talented Part-Qualified assistant Management Accountant to join our finance team. This role will be reporting to the financial controller. Your new role The Part-Qualified Management Accountant will support the finance team in preparing financial reports, analysing data, and ensuring the accuracy of financial information. This role is ideal for a proactive individual who is currently studying for a professional accounting qualification and is eager to develop their career in management accounting. Assist in the preparation of monthly management accounts and financial reports.Analyse financial data and provide insights to support business decision-making.Prepare and review budgets, forecasts, and variance analysis.Support the month-end and year-end closing processes.Maintain accurate financial records and ensure compliance with accounting standards.Collaborate with various departments to gather financial information and address queries.Assist in the preparation of financial statements and audits.Participate in ad-hoc financial projects and initiatives as required. What you'll need to succeed Part-qualified accountant (ACA, ACCA, CIMA, or equivalent) with relevant experience in management accounting.Strong analytical and problem-solving skills. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. #
Jul 03, 2025
Full time
Management Accountant Hybrid London £45k - £55k On-going Temp Role Your new company I am working with a leading telecommunications company based in the City of London, dedicated to providing innovative and reliable communication solutions to our clients. Their team is passionate about technology and committed to delivering exceptional service. They are looking for a talented Part-Qualified assistant Management Accountant to join our finance team. This role will be reporting to the financial controller. Your new role The Part-Qualified Management Accountant will support the finance team in preparing financial reports, analysing data, and ensuring the accuracy of financial information. This role is ideal for a proactive individual who is currently studying for a professional accounting qualification and is eager to develop their career in management accounting. Assist in the preparation of monthly management accounts and financial reports.Analyse financial data and provide insights to support business decision-making.Prepare and review budgets, forecasts, and variance analysis.Support the month-end and year-end closing processes.Maintain accurate financial records and ensure compliance with accounting standards.Collaborate with various departments to gather financial information and address queries.Assist in the preparation of financial statements and audits.Participate in ad-hoc financial projects and initiatives as required. What you'll need to succeed Part-qualified accountant (ACA, ACCA, CIMA, or equivalent) with relevant experience in management accounting.Strong analytical and problem-solving skills. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. #
Financial Controller - Global Luxury Retailer (SME)
Wayman Group
Role: Financial Controller - Global Luxury Retailer (SME) Location: Central London The Role: This opportunity is working for a well-established and successful Global Luxury Retailer with a brilliant brand in the sector and a very exciting strategy for the future. The business has a loyal and expanding customer base which operates through multichannel sales distribution, through its well-known flagship stores, global website, and stocked in many wholesale customer outlets globally. As a crucial member of the Finance team, reporting into the CFO you will be responsible for maintaining all necessary day-to-day financial controls, systems and processes to ensure the efficient and effective management of the Group's finances and compliance with statutory requirements. The main objective of the role is to analyse and report on financial performance, including sales and margin analysis, support in the development of reporting systems, dashboards and KPIs, and to ensure all stakeholders can fully rely upon the financial information provided. This is an exciting and challenging role that comes with a very competitive salary, benefits, and a generous bonus scheme. Roles and Responsibilities: Management of the day-to-day activities of the finance function and oversee the finance team Preparation of the monthly consolidated management accounts, including Profit and Loss, Balance Sheet and Cashflow reports adhering to set deadlines To work with the finance teams in the UK and Europe and act as a mentor to provide assistance and advice where required Periodically review departmental profit and loss reports with relevant managers, and provide additional analysis and information to support departmental decision making Preparation of weekly group cashflow forecasts and assist with managing group cash requirements and foreign exchange Support in the preparation of annual budgets and business forecasts, including P&L, Balance Sheets and Cashflow Oversee the preparation of weekly and monthly sales and orders reports To ensure all relevant journal entries, accruals, prepayments, fixed assets, and all other balance reconciliations are processed Oversee the preparation of monthly inventory reports, and oversee all stocktaking activities, including all retail stores, the factory and distribution centre, to ensure the valuations are a true reflection of the inventory in hand Analysis of inventory margins to maximise profitability Work with the manufacturing team to analyse all production costs, agree standard costs and update periodically to ensure that gross profit is maintained Liaise with the product development and design team to prepare indicative costs of new product designs to ensure that they are within the agreed pricing structure to ensure adequate profitability Preparation of year-end Financial Accounts and liaison with Auditors Assist the CFO in financial modelling and analysis, including budgets, forecasts and cash flow Preparation of monthly and quarterly statutory returns Implementation of and maintenance of robust internal control systems across the organisation by identifying problems, improving practices and writing new procedures Lead the implementation of new systems to provide enhanced reporting and analysis for the business, including BI group reporting tools Requirements: Qualified accountant (CIMA/ACCA/ACA) with three years Management Reporting experience Experience of working in a commercial environment, ideally wholesale / retail / manufacturing Strong commercial acumen with a focus on driving excellent financial and commercial performance Proven experience of analysing and interpreting data, with the ability of summarising key points and making recommendations Ability to manage and prioritise workload whilst maintaining a strong relationship with key stakeholders Highly skilled in Microsoft software, with experience in using finance and reporting software Company Information Wayman Finance is a specialist recruitment agency with over 20 years' experience within the Finance field. We've worked hard to establish our reputation with our clients as one of the most reliable Finance and Accounting agencies in London through our core values of honesty and customer excellence. Application To be considered for this Financial Controller position please forward a CV as soon as possible.
Jul 03, 2025
Full time
Role: Financial Controller - Global Luxury Retailer (SME) Location: Central London The Role: This opportunity is working for a well-established and successful Global Luxury Retailer with a brilliant brand in the sector and a very exciting strategy for the future. The business has a loyal and expanding customer base which operates through multichannel sales distribution, through its well-known flagship stores, global website, and stocked in many wholesale customer outlets globally. As a crucial member of the Finance team, reporting into the CFO you will be responsible for maintaining all necessary day-to-day financial controls, systems and processes to ensure the efficient and effective management of the Group's finances and compliance with statutory requirements. The main objective of the role is to analyse and report on financial performance, including sales and margin analysis, support in the development of reporting systems, dashboards and KPIs, and to ensure all stakeholders can fully rely upon the financial information provided. This is an exciting and challenging role that comes with a very competitive salary, benefits, and a generous bonus scheme. Roles and Responsibilities: Management of the day-to-day activities of the finance function and oversee the finance team Preparation of the monthly consolidated management accounts, including Profit and Loss, Balance Sheet and Cashflow reports adhering to set deadlines To work with the finance teams in the UK and Europe and act as a mentor to provide assistance and advice where required Periodically review departmental profit and loss reports with relevant managers, and provide additional analysis and information to support departmental decision making Preparation of weekly group cashflow forecasts and assist with managing group cash requirements and foreign exchange Support in the preparation of annual budgets and business forecasts, including P&L, Balance Sheets and Cashflow Oversee the preparation of weekly and monthly sales and orders reports To ensure all relevant journal entries, accruals, prepayments, fixed assets, and all other balance reconciliations are processed Oversee the preparation of monthly inventory reports, and oversee all stocktaking activities, including all retail stores, the factory and distribution centre, to ensure the valuations are a true reflection of the inventory in hand Analysis of inventory margins to maximise profitability Work with the manufacturing team to analyse all production costs, agree standard costs and update periodically to ensure that gross profit is maintained Liaise with the product development and design team to prepare indicative costs of new product designs to ensure that they are within the agreed pricing structure to ensure adequate profitability Preparation of year-end Financial Accounts and liaison with Auditors Assist the CFO in financial modelling and analysis, including budgets, forecasts and cash flow Preparation of monthly and quarterly statutory returns Implementation of and maintenance of robust internal control systems across the organisation by identifying problems, improving practices and writing new procedures Lead the implementation of new systems to provide enhanced reporting and analysis for the business, including BI group reporting tools Requirements: Qualified accountant (CIMA/ACCA/ACA) with three years Management Reporting experience Experience of working in a commercial environment, ideally wholesale / retail / manufacturing Strong commercial acumen with a focus on driving excellent financial and commercial performance Proven experience of analysing and interpreting data, with the ability of summarising key points and making recommendations Ability to manage and prioritise workload whilst maintaining a strong relationship with key stakeholders Highly skilled in Microsoft software, with experience in using finance and reporting software Company Information Wayman Finance is a specialist recruitment agency with over 20 years' experience within the Finance field. We've worked hard to establish our reputation with our clients as one of the most reliable Finance and Accounting agencies in London through our core values of honesty and customer excellence. Application To be considered for this Financial Controller position please forward a CV as soon as possible.
Senior Sector Controller
COMPASS GROUP CANADA
You might not know our name, but you know where we are. That's because Compass Group Canada is part of a global foodservice and support services company that's the 6th largest employer in the world, with 625,000 employees. You'll find us in schools, colleges, hospitals, office buildings, senior living communities, tourist attractions, sports venues, remote camps and military installations and more. We're in all major cities, at remote work sites and everywhere in between - doing business in Canada and 50+ other countries where you can learn and grow. Join us now and point your career forward! Job Details Location: 100 Kellogg Lane, London ON Hybrid Work Environment - 2 times a week in office Job Summary Now, if you were to come on board as our Senior Sector Controller, we'd ask you to do the following for us: Provide accounting and financial analysis to ensure accurate financial statements within specific deadlines Ensure all financial-related contractual obligations for clients are being achieved Review all clientreporting/invoices accurately and promptly Review balance sheet analysis Answer queries for and support Operations Management and Sr. Management Address queries from internal and external auditors andclients Ensure operations adheres to company policies Manage a team of Sector Controllers and Senior District Accountants Think you have what it takes to be our Senior Sector Controller? We're committed to hiring the best talent for the role. Here's how we'll know you'll be successful in the role: Post-secondary degree or diploma in Accounting Accounting Designation or equivalent work experience 5 years Financial Accounting experience in a computerized accounting environment Exceptional analytical skills and the initiative to solve problems Excellent interpersonal skills with the ability to work well in a team environment, both in the office and with Operations Excellent verbal and written communication skills Strong organizational skills Experience working with JD Edwards and Hyperion Financial Management would be an asset Previous supervisory or management experience is preferred Compass Group Canada is committed to nurturing a diverse workforce representative of the communities within which we operate. We encourage and are pleased to consider all qualified candidates, without regard to race, colour, citizenship, religion, sex, marital / family status, sexual orientation, gender identity, aboriginal status, age, disability or persons who may require an accommodation, to apply. For accommodation requests during the hiring process, please contact for further information.
Jul 03, 2025
Full time
You might not know our name, but you know where we are. That's because Compass Group Canada is part of a global foodservice and support services company that's the 6th largest employer in the world, with 625,000 employees. You'll find us in schools, colleges, hospitals, office buildings, senior living communities, tourist attractions, sports venues, remote camps and military installations and more. We're in all major cities, at remote work sites and everywhere in between - doing business in Canada and 50+ other countries where you can learn and grow. Join us now and point your career forward! Job Details Location: 100 Kellogg Lane, London ON Hybrid Work Environment - 2 times a week in office Job Summary Now, if you were to come on board as our Senior Sector Controller, we'd ask you to do the following for us: Provide accounting and financial analysis to ensure accurate financial statements within specific deadlines Ensure all financial-related contractual obligations for clients are being achieved Review all clientreporting/invoices accurately and promptly Review balance sheet analysis Answer queries for and support Operations Management and Sr. Management Address queries from internal and external auditors andclients Ensure operations adheres to company policies Manage a team of Sector Controllers and Senior District Accountants Think you have what it takes to be our Senior Sector Controller? We're committed to hiring the best talent for the role. Here's how we'll know you'll be successful in the role: Post-secondary degree or diploma in Accounting Accounting Designation or equivalent work experience 5 years Financial Accounting experience in a computerized accounting environment Exceptional analytical skills and the initiative to solve problems Excellent interpersonal skills with the ability to work well in a team environment, both in the office and with Operations Excellent verbal and written communication skills Strong organizational skills Experience working with JD Edwards and Hyperion Financial Management would be an asset Previous supervisory or management experience is preferred Compass Group Canada is committed to nurturing a diverse workforce representative of the communities within which we operate. We encourage and are pleased to consider all qualified candidates, without regard to race, colour, citizenship, religion, sex, marital / family status, sexual orientation, gender identity, aboriginal status, age, disability or persons who may require an accommodation, to apply. For accommodation requests during the hiring process, please contact for further information.
Hays
Senior FP&A Manager (Project Management)
Hays
Senior FP&A Manager for a privately owned project design business with Ultra High End developments Your new company A high growth, international project business who are responsible for ultra high end property development projects, from residential to hospitality. These projects are delivered globally and main operations are in Dubai, Europe and US. The business offer design services and also invest into their own projects. Your new role Reporting to the FD and taking ownership for commercial finance operations. This role is a real mix of FP&A, Data, Corporate finance, Treasury and Business Partnering. It has work flow management of 3 management accountants and will work closely with the Financial Controller as well as local finance business partners on projects. Review of budgets and forecastsOwnership of operational and strategic modelBusiness partnering with operations on site and global levelCost analysis and cash flowAnalysis of all financial information from the portfolio and operationsProject work, alongside operational Directors What you'll need to succeed You will need to be a qualified accountant with experience working in industry who has the desire to contribute to a growing business. You will need to demonstrate managerial experience whether from practice or from industry. Experience driving change in a FP&A function would be highly desirable. What you'll get in return You will play a really important part in the growth of the business and take real ownership of key reporting requirements as well as commercial analysis. This role has clear development plan to become Head of, so would suit ambitious professionals. The company also offer a flexible hybrid model. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career. #
Jul 03, 2025
Full time
Senior FP&A Manager for a privately owned project design business with Ultra High End developments Your new company A high growth, international project business who are responsible for ultra high end property development projects, from residential to hospitality. These projects are delivered globally and main operations are in Dubai, Europe and US. The business offer design services and also invest into their own projects. Your new role Reporting to the FD and taking ownership for commercial finance operations. This role is a real mix of FP&A, Data, Corporate finance, Treasury and Business Partnering. It has work flow management of 3 management accountants and will work closely with the Financial Controller as well as local finance business partners on projects. Review of budgets and forecastsOwnership of operational and strategic modelBusiness partnering with operations on site and global levelCost analysis and cash flowAnalysis of all financial information from the portfolio and operationsProject work, alongside operational Directors What you'll need to succeed You will need to be a qualified accountant with experience working in industry who has the desire to contribute to a growing business. You will need to demonstrate managerial experience whether from practice or from industry. Experience driving change in a FP&A function would be highly desirable. What you'll get in return You will play a really important part in the growth of the business and take real ownership of key reporting requirements as well as commercial analysis. This role has clear development plan to become Head of, so would suit ambitious professionals. The company also offer a flexible hybrid model. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion on your career. #
MorePeople
Business Financial Controller
MorePeople Thame, Oxfordshire
The Company Our client is a globally integrated agricultural network that links producers with consumers to deliver sustainable, traceable, and quality assured agricultural goods. It is involved in the sourcing and global distribution of commodities such as grains, oilseeds, and pulses. Position Summary This role sits within the finance function and reports directly to the Finance Director. It offers broad exposure to financial and reporting responsibilities, requiring a sound understanding of accounting processes, enterprise systems, and financial reporting frameworks including International Financial Reporting Standards (IFRS), US GAAP, and SOX. The position also demands an appreciation of the wider commercial activities of the organisation. You will be responsible for various elements of both trade and financial accounting and will operate in a fast paced, international setting. Regular interaction with core business functions around financial performance is a key part of this role. Key Responsibilities Ensure accurate and timely reporting of trade performance and balance sheets, including detailed reconciliations and variance analysis Compile financial data and documentation for group reporting Contribute to compliance efforts under SOX and support implementation of improved processes and internal controls Deliver high-quality financial insights and reporting to various stakeholders across the business on both a regular and ad-hoc basis Build strong, collaborative relationships with colleagues across departments, within the wider organisation, and with external partners Contribute to systems and process enhancement projects, including ERP improvements Support internal and external audit activities Assist in the preparation of statutory accounts and regulatory reporting, ensuring compliance with IFRS and US GAAP Support supplier and customer processes, including KYC checks, credit assessments, and ledger management Essential Qualifications & Experience Qualified or Part-Qualified Accountant (e.g. ACA, ACCA, CGMA, CPA, AAT or equivalent) Experience in audit, internal audit, or internal control roles Familiarity with US GAAP and SOX requirements Minimum 3 years' experience in a large or complex organisation, or within financial control Strong proficiency in Microsoft Office, especially Excel Advanced knowledge of SAP or similar ERP platforms Solid understanding of IFRS standards Desirable Experience Exposure to Onestream or similar consolidation/reporting tools Previous work experience in an audit firm Experience in project and process management Personal Attributes Self starter with a practical, solution-oriented mindset; works well both independently and within a team High attention to detail, with strong communication and analytical skills Ability to identify process risks and recommend appropriate controls Well-organised with the ability to prioritise tasks effectively Eager to learn and understand business operations Strong ethical standards and professional integrity Comfortable managing multiple internal and external stakeholder relationships in a coordinating capacity How to Apply: If you are interested, please apply below, alternatively, contact Angus on (phone number removed) or (url removed) INDOTHER
Jul 03, 2025
Full time
The Company Our client is a globally integrated agricultural network that links producers with consumers to deliver sustainable, traceable, and quality assured agricultural goods. It is involved in the sourcing and global distribution of commodities such as grains, oilseeds, and pulses. Position Summary This role sits within the finance function and reports directly to the Finance Director. It offers broad exposure to financial and reporting responsibilities, requiring a sound understanding of accounting processes, enterprise systems, and financial reporting frameworks including International Financial Reporting Standards (IFRS), US GAAP, and SOX. The position also demands an appreciation of the wider commercial activities of the organisation. You will be responsible for various elements of both trade and financial accounting and will operate in a fast paced, international setting. Regular interaction with core business functions around financial performance is a key part of this role. Key Responsibilities Ensure accurate and timely reporting of trade performance and balance sheets, including detailed reconciliations and variance analysis Compile financial data and documentation for group reporting Contribute to compliance efforts under SOX and support implementation of improved processes and internal controls Deliver high-quality financial insights and reporting to various stakeholders across the business on both a regular and ad-hoc basis Build strong, collaborative relationships with colleagues across departments, within the wider organisation, and with external partners Contribute to systems and process enhancement projects, including ERP improvements Support internal and external audit activities Assist in the preparation of statutory accounts and regulatory reporting, ensuring compliance with IFRS and US GAAP Support supplier and customer processes, including KYC checks, credit assessments, and ledger management Essential Qualifications & Experience Qualified or Part-Qualified Accountant (e.g. ACA, ACCA, CGMA, CPA, AAT or equivalent) Experience in audit, internal audit, or internal control roles Familiarity with US GAAP and SOX requirements Minimum 3 years' experience in a large or complex organisation, or within financial control Strong proficiency in Microsoft Office, especially Excel Advanced knowledge of SAP or similar ERP platforms Solid understanding of IFRS standards Desirable Experience Exposure to Onestream or similar consolidation/reporting tools Previous work experience in an audit firm Experience in project and process management Personal Attributes Self starter with a practical, solution-oriented mindset; works well both independently and within a team High attention to detail, with strong communication and analytical skills Ability to identify process risks and recommend appropriate controls Well-organised with the ability to prioritise tasks effectively Eager to learn and understand business operations Strong ethical standards and professional integrity Comfortable managing multiple internal and external stakeholder relationships in a coordinating capacity How to Apply: If you are interested, please apply below, alternatively, contact Angus on (phone number removed) or (url removed) INDOTHER

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