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financial controller
Fund Controller, Debt Investments (m f x)
E Fundresearch Richmond, Surrey
Fund Controller, Debt Investments (m f x) London Corporate Finance & Controlling Vollzeit ohne Führungsaufgaben mit betrieblicher Altersvorsorge Downloads Team Overview: Within the specialised Debt Investments business, there is a Debt Finance & Loan Agency team of 6 people responsible for accounting, financial reporting, cash management, statutory / fiscal compliance and the loan agency & servicing for all funds and separate accounts advised by the Debt Investment team. The team currently manages eight debt funds / separate accounts. The Finance team also plays a key role in fund structuring/set-up, bank financing and liquidations as well as taking responsibility for corporate matters in relation to fund entities. LaSalle are looking to recruit an experienced Fund Controller with drive, excellent communication skills and the ability to work in the challenging and exciting Debt Investment business. The candidate will take ownership of a mezzanine debt fund which is in its divestment phase alongside its side car vehicle which is still in its investment period. The successful candidate will also be overseeing the loan agency & servicing function managed by a third-party service provider. Accounting & Operations Oversight and management of the accounting, consolidation and reporting processes for the fund, including quarterly/annual financial statements, investor reporting, annual financial accounts and investor requests. The candidate will be required to review the accounts of the fund (with the assistance of external providers). Manage the audit and tax compliance processes, including fee negotiations, scope determination, appointment and co-ordination of external advisers Serving as a single point of contact for internal fund managers, portfolio & asset managers and administrators. Responsible for cash management of the fund, including calculation of investor calls and distributions along with making recommendations to the fund managers Oversight and management of back leverage compliance requirements Interact and liaise with different LaSalle functions in accordance with internal controls, external regulations and specific fund processes Liaise with the wider and different LaSalle Finance functions and ensure all information and reporting requirements are provided in an accurate and timely manner - including budgeting and forecasting. Assist in due diligence and structuring of new debt investments. Working closely with the wider banking team / service provider to ensure seamless setup and running of the pledged accounts, being the link between the borrower and the banking team / service provider. Loan Agency & Servicing Oversight of loan agency & servicing aspects of the loans within the fund including Day 1 set up of new deals in the system, interest payment statements, compliance testing, waterfalls management, valuations instructions and dealing with borrower requests - in accordance with loan agreements Have deep understanding of the loan investment portfolio. Liaise with internal specialists to draft recommendations with respect to borrower requests/ issues. Required Qualifications & Experience: Qualified accountant with 1 - 2 years post qualification experience (ACA, ACCA preferred) Fund or CRE debt experience (an experience in both would be advantageous but not essential) Knowledge of loan agreements mechanics & key operational clauses Excellent Excel knowledge and experience of Yardi or similar General Ledger systems an advantage Good problem solving and analytical skills Self-motivated/takes initiative, pro-active with a 'client-service' mentality whether internal or external 'clients' Organised, methodical and with an eye for detail and accuracy Hard working, ability to meet deadlines and multi-task Excellent verbal and written communication skills
Dec 12, 2025
Full time
Fund Controller, Debt Investments (m f x) London Corporate Finance & Controlling Vollzeit ohne Führungsaufgaben mit betrieblicher Altersvorsorge Downloads Team Overview: Within the specialised Debt Investments business, there is a Debt Finance & Loan Agency team of 6 people responsible for accounting, financial reporting, cash management, statutory / fiscal compliance and the loan agency & servicing for all funds and separate accounts advised by the Debt Investment team. The team currently manages eight debt funds / separate accounts. The Finance team also plays a key role in fund structuring/set-up, bank financing and liquidations as well as taking responsibility for corporate matters in relation to fund entities. LaSalle are looking to recruit an experienced Fund Controller with drive, excellent communication skills and the ability to work in the challenging and exciting Debt Investment business. The candidate will take ownership of a mezzanine debt fund which is in its divestment phase alongside its side car vehicle which is still in its investment period. The successful candidate will also be overseeing the loan agency & servicing function managed by a third-party service provider. Accounting & Operations Oversight and management of the accounting, consolidation and reporting processes for the fund, including quarterly/annual financial statements, investor reporting, annual financial accounts and investor requests. The candidate will be required to review the accounts of the fund (with the assistance of external providers). Manage the audit and tax compliance processes, including fee negotiations, scope determination, appointment and co-ordination of external advisers Serving as a single point of contact for internal fund managers, portfolio & asset managers and administrators. Responsible for cash management of the fund, including calculation of investor calls and distributions along with making recommendations to the fund managers Oversight and management of back leverage compliance requirements Interact and liaise with different LaSalle functions in accordance with internal controls, external regulations and specific fund processes Liaise with the wider and different LaSalle Finance functions and ensure all information and reporting requirements are provided in an accurate and timely manner - including budgeting and forecasting. Assist in due diligence and structuring of new debt investments. Working closely with the wider banking team / service provider to ensure seamless setup and running of the pledged accounts, being the link between the borrower and the banking team / service provider. Loan Agency & Servicing Oversight of loan agency & servicing aspects of the loans within the fund including Day 1 set up of new deals in the system, interest payment statements, compliance testing, waterfalls management, valuations instructions and dealing with borrower requests - in accordance with loan agreements Have deep understanding of the loan investment portfolio. Liaise with internal specialists to draft recommendations with respect to borrower requests/ issues. Required Qualifications & Experience: Qualified accountant with 1 - 2 years post qualification experience (ACA, ACCA preferred) Fund or CRE debt experience (an experience in both would be advantageous but not essential) Knowledge of loan agreements mechanics & key operational clauses Excellent Excel knowledge and experience of Yardi or similar General Ledger systems an advantage Good problem solving and analytical skills Self-motivated/takes initiative, pro-active with a 'client-service' mentality whether internal or external 'clients' Organised, methodical and with an eye for detail and accuracy Hard working, ability to meet deadlines and multi-task Excellent verbal and written communication skills
CMA Recruitment Group
Financial Controller
CMA Recruitment Group Southampton, Hampshire
An exciting opportunity has arisen to join a high-growth, acquisitive professional services organisation based in Southampton, as a Financial Controller. CMA Recruitment Group is partnering with this innovative and fast-paced business, which operates in a collaborative and ambitious environment. The company is actively acquiring new businesses and requires an experienced finance professional to support this expansion. What will the Financial Controller role involve? Working closely with the Finance Director to support strategic and operational finance initiatives. Managing accounts for newly acquired subsidiaries. Overseeing all aspects of financial control and ensuring robust processes are in place. Leading the preparation of statutory accounts and ensuring compliance. Driving improvements to monthly reporting cycles and financial systems. Suitable Candidate for the Financial Controller vacancy: Qualified accountant with 5 + years of Financial Controller experience. Track record of managing multiple priorities, particularly in dynamic or acquisitive environments. Process-driven mindset with the ability to lead change and improve efficiencies. Additional benefits and information for the role of Financial Controller: Opportunity to work with an ambitious leadership team in a high-growth business. Flexible hybrid working environment. CMA Recruitment Group is acting as a recruitment agency in relation to this role. CMA complies with all relevant UK legislation and does not discriminate on any protected characteristics. By completing the application process, you agree to the terms outlined in our Privacy Notice and that CMA may contact you in connection with your application in relation to CMA providing you with work finding services. Our Privacy Notice can be viewed under the privacy tab on our website. CMA is currently receiving a high volume of applications. Whilst we ensure all applications are considered, regrettably, it may not be possible to respond individually to all applications received. Meridians House, 7 Ocean Way, Ocean Village, Southampton, Hampshire SO14 3TJ Regus, Building 2, Guildford Business Park Rd, Guildford, Surrey GU2 8XG
Dec 12, 2025
Full time
An exciting opportunity has arisen to join a high-growth, acquisitive professional services organisation based in Southampton, as a Financial Controller. CMA Recruitment Group is partnering with this innovative and fast-paced business, which operates in a collaborative and ambitious environment. The company is actively acquiring new businesses and requires an experienced finance professional to support this expansion. What will the Financial Controller role involve? Working closely with the Finance Director to support strategic and operational finance initiatives. Managing accounts for newly acquired subsidiaries. Overseeing all aspects of financial control and ensuring robust processes are in place. Leading the preparation of statutory accounts and ensuring compliance. Driving improvements to monthly reporting cycles and financial systems. Suitable Candidate for the Financial Controller vacancy: Qualified accountant with 5 + years of Financial Controller experience. Track record of managing multiple priorities, particularly in dynamic or acquisitive environments. Process-driven mindset with the ability to lead change and improve efficiencies. Additional benefits and information for the role of Financial Controller: Opportunity to work with an ambitious leadership team in a high-growth business. Flexible hybrid working environment. CMA Recruitment Group is acting as a recruitment agency in relation to this role. CMA complies with all relevant UK legislation and does not discriminate on any protected characteristics. By completing the application process, you agree to the terms outlined in our Privacy Notice and that CMA may contact you in connection with your application in relation to CMA providing you with work finding services. Our Privacy Notice can be viewed under the privacy tab on our website. CMA is currently receiving a high volume of applications. Whilst we ensure all applications are considered, regrettably, it may not be possible to respond individually to all applications received. Meridians House, 7 Ocean Way, Ocean Village, Southampton, Hampshire SO14 3TJ Regus, Building 2, Guildford Business Park Rd, Guildford, Surrey GU2 8XG
FINANCIAL CONTROLLER
Petroleum Experts Guildford, Surrey
PE Limited is a market leader in integrated engineering software solutions, deliveringstate-of-the-artmodelling and optimisation products, primarily to the global oil and gas,miningand renewable industries. Ourcutting-edgetools support critical decision-making for all of the world's leading energy companies by integrating complex data into powerful, easy-to-use models. Established in 1990, we have grown into a hugely successful business with more than 450 clients across the world, ranging from small consultancies to major multinational corporations. Our expansion led us torelocatingour UK Headquarters from Edinburgh to Guildford in 2025, with further growthanticipatedinternationally. With ambitious plans to expand into new industry sectors, this is an exciting time to join us as we grow our brand presence and broaden our impact across the energy landscape. About this Vacancy Overview We are seeking a dynamic and experienced Financial Controller to join our finance team, reporting directly to the Group Financial Controller . This role offers a clear pathway for progression, with the intention of stepping into the Group Financial Controller position in due course. It is a hands-on role with broad responsibilities, ideal for a proactive individual looking to grow within a forward-thinking expanding organisation. Key Responsibilities As Financial Controller, you will be responsible for: Leading and mentoring the finance team, including oversight of an overseas subsidiary's finance function. Taking ownership of the month-end close process and ensuring timely and accurate reporting. Preparing and submitting tax returns, including VAT and Corporation Tax, and other non-UK tax returns. Consolidating group accounts and managing multi-currency transactions. Leading the year-end audit cycle, including coordination with external auditors and preparation of consolidated statutory accounts under FRS 102. Ensuring adherence to financial controlsand compliance. Overseeing payroll and pension scheme administration. Managing treasury operations, including liquidity management and banking relationships. Ensuring compliance with international tax regulations related to cross-border sales. Supporting wider business functions, including Contracts and Licensing where appropriate. Performing a variety of ad hoc financial and operational tasks as required. Contributing to adding value for finance teams function to the wider business. Assisting in the preparation of budgets, forecasts, and financial plans. Qualifications About You To succeed in this role, you will bring: A recognised accounting qualification (e.g. ACA, ACCA). 5+ years qualified. A degree in finance, accounting, or a related discipline. Strong technical accounting knowledge, accuracy and experience across the listed responsibilities. Advanced proficiency in Microsoft Excel. A proactive, hands-on approach with the ability to adapt in a dynamic environment. Excellent communication and leadership skills. A desire to grow professionally and take on increasing responsibility within the finance function. Package Within a comprehensive package we also offer an annual performance bonus, an excellent pension to which the company will match up to 10% of all employee contributions, private health and dental insurance, and other benefits.
Dec 12, 2025
Full time
PE Limited is a market leader in integrated engineering software solutions, deliveringstate-of-the-artmodelling and optimisation products, primarily to the global oil and gas,miningand renewable industries. Ourcutting-edgetools support critical decision-making for all of the world's leading energy companies by integrating complex data into powerful, easy-to-use models. Established in 1990, we have grown into a hugely successful business with more than 450 clients across the world, ranging from small consultancies to major multinational corporations. Our expansion led us torelocatingour UK Headquarters from Edinburgh to Guildford in 2025, with further growthanticipatedinternationally. With ambitious plans to expand into new industry sectors, this is an exciting time to join us as we grow our brand presence and broaden our impact across the energy landscape. About this Vacancy Overview We are seeking a dynamic and experienced Financial Controller to join our finance team, reporting directly to the Group Financial Controller . This role offers a clear pathway for progression, with the intention of stepping into the Group Financial Controller position in due course. It is a hands-on role with broad responsibilities, ideal for a proactive individual looking to grow within a forward-thinking expanding organisation. Key Responsibilities As Financial Controller, you will be responsible for: Leading and mentoring the finance team, including oversight of an overseas subsidiary's finance function. Taking ownership of the month-end close process and ensuring timely and accurate reporting. Preparing and submitting tax returns, including VAT and Corporation Tax, and other non-UK tax returns. Consolidating group accounts and managing multi-currency transactions. Leading the year-end audit cycle, including coordination with external auditors and preparation of consolidated statutory accounts under FRS 102. Ensuring adherence to financial controlsand compliance. Overseeing payroll and pension scheme administration. Managing treasury operations, including liquidity management and banking relationships. Ensuring compliance with international tax regulations related to cross-border sales. Supporting wider business functions, including Contracts and Licensing where appropriate. Performing a variety of ad hoc financial and operational tasks as required. Contributing to adding value for finance teams function to the wider business. Assisting in the preparation of budgets, forecasts, and financial plans. Qualifications About You To succeed in this role, you will bring: A recognised accounting qualification (e.g. ACA, ACCA). 5+ years qualified. A degree in finance, accounting, or a related discipline. Strong technical accounting knowledge, accuracy and experience across the listed responsibilities. Advanced proficiency in Microsoft Excel. A proactive, hands-on approach with the ability to adapt in a dynamic environment. Excellent communication and leadership skills. A desire to grow professionally and take on increasing responsibility within the finance function. Package Within a comprehensive package we also offer an annual performance bonus, an excellent pension to which the company will match up to 10% of all employee contributions, private health and dental insurance, and other benefits.
Kennedy Pearce Consulting
Group Financial Controller
Kennedy Pearce Consulting
A leading business based in South Norfolk is seeking a Group Financial Controller to lead financial governance, internal controls, and accounting across multiple sites. This senior finance role offers influence over financial strategy, risk management, and operational compliance in a fast-paced, innovation-driven business. You will lead group financial control, accounting, and reporting functions, establishing and maintaining strong internal controls, financial governance, and compliance. You will oversee statutory reporting, month-end and year-end processes under IFRS/GAAP, manage financial risk and ERP system governance, drive process improvements, cost control, and operational efficiency, and lead a high-performing accounting and controls team. Candidates must be ACA/ACCA/CPA qualified with proven experience in financial control, governance, or assurance, ideally within manufacturing or multi-site operations. Strong knowledge of internal controls, risk management frameworks, financial regulations, and ERP/system controls is essential, along with excellent leadership, communication, and stakeholder management skills. Benefits include £90K-£100K base salary DOE plus annual bonus, company car scheme (ECOS), 25 days holiday plus bank holidays, pension, private healthcare, and hybrid working (three days on-site). If you're an experienced and qualified GFC with strong leadership skills, apply today to join a globally recognised brand.
Dec 12, 2025
Full time
A leading business based in South Norfolk is seeking a Group Financial Controller to lead financial governance, internal controls, and accounting across multiple sites. This senior finance role offers influence over financial strategy, risk management, and operational compliance in a fast-paced, innovation-driven business. You will lead group financial control, accounting, and reporting functions, establishing and maintaining strong internal controls, financial governance, and compliance. You will oversee statutory reporting, month-end and year-end processes under IFRS/GAAP, manage financial risk and ERP system governance, drive process improvements, cost control, and operational efficiency, and lead a high-performing accounting and controls team. Candidates must be ACA/ACCA/CPA qualified with proven experience in financial control, governance, or assurance, ideally within manufacturing or multi-site operations. Strong knowledge of internal controls, risk management frameworks, financial regulations, and ERP/system controls is essential, along with excellent leadership, communication, and stakeholder management skills. Benefits include £90K-£100K base salary DOE plus annual bonus, company car scheme (ECOS), 25 days holiday plus bank holidays, pension, private healthcare, and hybrid working (three days on-site). If you're an experienced and qualified GFC with strong leadership skills, apply today to join a globally recognised brand.
Serve Talent
Financial Controller
Serve Talent
Plant Financial Controller Location: Norwich, Norfolk Employment Type: Full time Salary: Competitive Are you an experienced financial leader with strong manufacturing experience? This is an excellent opportunity to join a major production site as a key member of the management team, responsible for driving financial performance, improving operational efficiency, and supporting strategic decision-m click apply for full job details
Dec 12, 2025
Full time
Plant Financial Controller Location: Norwich, Norfolk Employment Type: Full time Salary: Competitive Are you an experienced financial leader with strong manufacturing experience? This is an excellent opportunity to join a major production site as a key member of the management team, responsible for driving financial performance, improving operational efficiency, and supporting strategic decision-m click apply for full job details
UKROEd Limited
Financial Controller
UKROEd Limited
Financial Controller We are looking for an experienced and solutions-focused Financial Controller to join UKROEd at a pivotal time. This is an exciting opportunity to play a major role in ensuring robust financial management across both UKROEd and The Road Safety Trust , supporting our mission to improve road safety and reduce harm on the UK s roads. Position: Financial Controller Location: Manchester, Hybrid working, with a minimum of two days per week at Head Office Salary: Circa £70,000 (dependent on experience) Hours: Full time, 37.5 hours per week Contract: Permanent Closing Date: Sunday 11th January 2026 (We reserve the right to close this vacancy early if we receive sufficient applications.) Interviews: 4th February 2026 , in person, Manchester The Role As second-in-command to the Chief Finance Officer, the Financial Controller will oversee the collection, consolidation and analysis of financial data across UKROEd and The Road Safety Trust. This is a broad and hands-on leadership role, central to maintaining strong financial governance, ensuring statutory and regulatory compliance, and safeguarding organisational assets. You will lead the financial control environment, oversee key financial processes including payroll, procurement, budgeting and reporting, and drive continuous improvement in how financial information is produced, interpreted and used. As a trusted partner to senior leaders and trustees, you will support informed decision-making by providing accurate, timely and high-quality financial insights. Key Responsibilities Oversee financial operations, controls and compliance across both organisations Produce management accounts, financial reports and statutory returns Lead payroll, pensions, procurement and the purchase-to-pay cycle Manage assets, liabilities and financial risk registers Support budgeting, forecasting and financial strategy delivery Liaise with auditors, bankers, insurers and advisers Oversee NDORS-related billing and financial processes Provide leadership and guidance to the Finance Manager About You We are seeking a highly capable finance professional with strong technical expertise, exceptional attention to detail and a proactive approach to improving financial governance. You will bring the confidence to work with senior stakeholders, the experience to manage complex financial operations, and the integrity to uphold the highest standards of financial stewardship. Essential Experience & Knowledge At least 5 years experience managing financial operations. Hold a ACA, ACCA, CIMA or equivalent qualification. Degree in accounting, finance, business, economics or related field. Demonstrable experience as a Financial Controller. Strong understanding of management accounting principles. In-depth knowledge of budgeting, forecasting and financial analysis. Strong understanding of tax codes, laws and statutory reporting. Experience working with senior stakeholders and writing high-quality reports. Proficiency in accounting systems and advanced spreadsheet skills. Excellent interpersonal and communication skills. Highly organised, accurate and detail-oriented. Willingness to undertake NPPV Level 3 vetting. Desirable: Experience in policing, local authority or charity sector finance. Experience using Xero or similar accounting systems. To Apply Please submit your CV along with a covering letter detailing how your skills, knowledge and experience meet the requirements of the role. About UKROEd UKROEd Ltd is a private, not-for-profit company responsible for the delivery, management and administration of the National Driver Offender Retraining Scheme (NDORS) on behalf of the police service. As the operating company of The Road Safety Trust, UKROEd supports the education of drivers who commit low-level traffic offences and contributes to a safer road network for all. You may have experience in roles such as: Finance Manager, Financial Controller, Senior Finance Business Partner, Senor Financial Accountant, Head of Financial Accounts, Finance and Operations Manager, Head of Finance, Finance Director, etc . PLEASE NOTE: This role is being advertised by NFP People on behalf of the organisation
Dec 12, 2025
Full time
Financial Controller We are looking for an experienced and solutions-focused Financial Controller to join UKROEd at a pivotal time. This is an exciting opportunity to play a major role in ensuring robust financial management across both UKROEd and The Road Safety Trust , supporting our mission to improve road safety and reduce harm on the UK s roads. Position: Financial Controller Location: Manchester, Hybrid working, with a minimum of two days per week at Head Office Salary: Circa £70,000 (dependent on experience) Hours: Full time, 37.5 hours per week Contract: Permanent Closing Date: Sunday 11th January 2026 (We reserve the right to close this vacancy early if we receive sufficient applications.) Interviews: 4th February 2026 , in person, Manchester The Role As second-in-command to the Chief Finance Officer, the Financial Controller will oversee the collection, consolidation and analysis of financial data across UKROEd and The Road Safety Trust. This is a broad and hands-on leadership role, central to maintaining strong financial governance, ensuring statutory and regulatory compliance, and safeguarding organisational assets. You will lead the financial control environment, oversee key financial processes including payroll, procurement, budgeting and reporting, and drive continuous improvement in how financial information is produced, interpreted and used. As a trusted partner to senior leaders and trustees, you will support informed decision-making by providing accurate, timely and high-quality financial insights. Key Responsibilities Oversee financial operations, controls and compliance across both organisations Produce management accounts, financial reports and statutory returns Lead payroll, pensions, procurement and the purchase-to-pay cycle Manage assets, liabilities and financial risk registers Support budgeting, forecasting and financial strategy delivery Liaise with auditors, bankers, insurers and advisers Oversee NDORS-related billing and financial processes Provide leadership and guidance to the Finance Manager About You We are seeking a highly capable finance professional with strong technical expertise, exceptional attention to detail and a proactive approach to improving financial governance. You will bring the confidence to work with senior stakeholders, the experience to manage complex financial operations, and the integrity to uphold the highest standards of financial stewardship. Essential Experience & Knowledge At least 5 years experience managing financial operations. Hold a ACA, ACCA, CIMA or equivalent qualification. Degree in accounting, finance, business, economics or related field. Demonstrable experience as a Financial Controller. Strong understanding of management accounting principles. In-depth knowledge of budgeting, forecasting and financial analysis. Strong understanding of tax codes, laws and statutory reporting. Experience working with senior stakeholders and writing high-quality reports. Proficiency in accounting systems and advanced spreadsheet skills. Excellent interpersonal and communication skills. Highly organised, accurate and detail-oriented. Willingness to undertake NPPV Level 3 vetting. Desirable: Experience in policing, local authority or charity sector finance. Experience using Xero or similar accounting systems. To Apply Please submit your CV along with a covering letter detailing how your skills, knowledge and experience meet the requirements of the role. About UKROEd UKROEd Ltd is a private, not-for-profit company responsible for the delivery, management and administration of the National Driver Offender Retraining Scheme (NDORS) on behalf of the police service. As the operating company of The Road Safety Trust, UKROEd supports the education of drivers who commit low-level traffic offences and contributes to a safer road network for all. You may have experience in roles such as: Finance Manager, Financial Controller, Senior Finance Business Partner, Senor Financial Accountant, Head of Financial Accounts, Finance and Operations Manager, Head of Finance, Finance Director, etc . PLEASE NOTE: This role is being advertised by NFP People on behalf of the organisation
Eaton Syalon Ltd
Senior Credit Controller
Eaton Syalon Ltd City, Derby
Eaton Syalon are working with a Derby based business to recruit a Senior Credit Controller into their Finance team. As Senior Credit Controller, you'll report into the Credit Manager and will take ownership over your own ledger whilst supporting and mentoring a Credit Control Assistant. This role is ideal for candidates who are looking for a step up into a senior role. Key Duties Include: - Review accounts and resolving queries - Liaise with external departments to ensure prompt payment resolution - Issuing statements for customer accounts - Deal with third parties when the business have been unsuccessful at resolving debtor issues - Assist with ensuring that all Direct Debits are collected on time and posted to the ledger - Assist with cash allocation when required - Identify and discuss any process improvements with the Credit Manager, to help strengthen the controls and increase efficiency - Manage the credit control inbox, ensuring queries are resolved promptly to prevent escalation - Support the Credit Manager in delivering audit requirements and providing information to the Financial Accounts team as requested - Provide day to day guidance and mentorship to the Credit Control Assistant, supporting their development and ensuring consistent processes and performance standards are maintained - Manage and monitor the Bad Debt Provision and related reporting Person Profile: - Previous credit control / sales ledger experience - Strong IT skills to include Excel - You'll be someone who is looking to work with autonomy and happy to support the day-to-day of staff members - Must have the ability to deal with challenging and complex conversations and situations, and be able to offer meaningful solutions Please apply for consideration if you think this role sounds of interest. Please note that this role is a hybrid working role with minimum expectation 2 days on-site in Derby. The business are easily accessible on public transport from Nottingham and Derby locations.
Dec 12, 2025
Full time
Eaton Syalon are working with a Derby based business to recruit a Senior Credit Controller into their Finance team. As Senior Credit Controller, you'll report into the Credit Manager and will take ownership over your own ledger whilst supporting and mentoring a Credit Control Assistant. This role is ideal for candidates who are looking for a step up into a senior role. Key Duties Include: - Review accounts and resolving queries - Liaise with external departments to ensure prompt payment resolution - Issuing statements for customer accounts - Deal with third parties when the business have been unsuccessful at resolving debtor issues - Assist with ensuring that all Direct Debits are collected on time and posted to the ledger - Assist with cash allocation when required - Identify and discuss any process improvements with the Credit Manager, to help strengthen the controls and increase efficiency - Manage the credit control inbox, ensuring queries are resolved promptly to prevent escalation - Support the Credit Manager in delivering audit requirements and providing information to the Financial Accounts team as requested - Provide day to day guidance and mentorship to the Credit Control Assistant, supporting their development and ensuring consistent processes and performance standards are maintained - Manage and monitor the Bad Debt Provision and related reporting Person Profile: - Previous credit control / sales ledger experience - Strong IT skills to include Excel - You'll be someone who is looking to work with autonomy and happy to support the day-to-day of staff members - Must have the ability to deal with challenging and complex conversations and situations, and be able to offer meaningful solutions Please apply for consideration if you think this role sounds of interest. Please note that this role is a hybrid working role with minimum expectation 2 days on-site in Derby. The business are easily accessible on public transport from Nottingham and Derby locations.
Oasis Trust
Financial Controller (a charity committed to community transformation)
Oasis Trust
Financial Controller (a charity committed to community transformation) Permanent, full-time post, 40 hours per week (1 FTE), inclusive of breaks Salary: £55,184 per annum (including London Weighting) Hybrid: Some travel around the UK will also be required. Financial Controller Oasis Group Oasis exists to transform communities, so they are healthy, inclusive, and thriving. Through our network of global Hubs, we work holistically to tackle inequality and build strong local ecosystems that serve everyone. To support this vital mission, we are now seeking a Financial Controller to join our national leadership team. Based in our London Waterloo office, the Financial Controller will oversee the finance function for our UK operations, ensuring excellence in financial planning, reporting, compliance, and controls. Why might you consider Oasis? We are proud of why we exist and what we bring to the communities in which we operate. Our story is told through a multi-faceted organisation that extends across support for homelessness and housing (Oasis Community Housing), secure education for young people (Oasis Restore), community hubs (Oasis Community Partnerships) and disrupting human trafficking (STOP THE TRAFFIK) and of course our network of 55 Oasis Academies (Oasis Community Learning). We are proud that we don t just talk a good game we actively engage and change lives for the better. What will you do? This newly formed leadership role will manage the financial operations across specific subsidiaries of Oasis. It will ensure financial accuracy, sustainability, regulatory compliance, and the delivery of timely financial information to support decision-making across the group. To be successful in this role, applicants will require: A recognised professional accounting qualification or part-qualification, together with a thorough practical understanding of financial and management accounting principles and techniques. Advanced working knowledge/experience of Excel and computerised accounting systems (preferably PS Financials) with the ability to interpret and extract relevant financial information. Ability to communicate complex financial information to a wide audience with varying financial backgrounds, both internally and externally Excellent inter-personal and people management experience What will you get in return? A network of peers and partners all sharing the same vision and an environment set up to ensure everyone is supported and included. A package of reward that includes a 7% employer contribution pension scheme, annual leave allowance starting at 25 days (plus Bank Holidays) increasing over time, eligibility to join the Green Commute cycle to work scheme and cash benefit health plan. Be part of an international network of Oasis charities offering opportunities to develop your career in new directions and locations. A competitive salary and workplace flexibility. As this is a newly created role, expect an evolving position that requires your insightful input, leadership and at the same time, provides incredible opportunities for the right person. To apply, please send your CV and a Supporting Statement (no more than two A4 pages). Please expand on your CV to tell us about relevant skills, experience and qualifications you have that relate to the job description and person specification. We will review applications on a rolling basis and reserve the right to close the advert if we identify suitable candidates. To avoid disappointment, please submit your application as soon as possible. If successful you will be invited to formal and practical interviews W e actively encourage applications from people of all ethnic backgrounds and underrepresented groups. If you require any assistance to overcome potential barriers during the recruitment process, please let us know. Oasis is committed to making a difference to the lives of the communities it works in, and as such you must show a willingness to demonstrate commitment to the values and behaviours which flow from the Oasis ethos. We are committed to safeguarding and promoting the welfare of children and young people. We expect all staff to share this commitment and to undergo appropriate checks, including enhanced DBS checks. The successful candidates must have the right to work in the UK. Oasis cannot assist with sponsorship or visas. Oasis supports Equal Opportunities. Registered Charity No.
Dec 12, 2025
Full time
Financial Controller (a charity committed to community transformation) Permanent, full-time post, 40 hours per week (1 FTE), inclusive of breaks Salary: £55,184 per annum (including London Weighting) Hybrid: Some travel around the UK will also be required. Financial Controller Oasis Group Oasis exists to transform communities, so they are healthy, inclusive, and thriving. Through our network of global Hubs, we work holistically to tackle inequality and build strong local ecosystems that serve everyone. To support this vital mission, we are now seeking a Financial Controller to join our national leadership team. Based in our London Waterloo office, the Financial Controller will oversee the finance function for our UK operations, ensuring excellence in financial planning, reporting, compliance, and controls. Why might you consider Oasis? We are proud of why we exist and what we bring to the communities in which we operate. Our story is told through a multi-faceted organisation that extends across support for homelessness and housing (Oasis Community Housing), secure education for young people (Oasis Restore), community hubs (Oasis Community Partnerships) and disrupting human trafficking (STOP THE TRAFFIK) and of course our network of 55 Oasis Academies (Oasis Community Learning). We are proud that we don t just talk a good game we actively engage and change lives for the better. What will you do? This newly formed leadership role will manage the financial operations across specific subsidiaries of Oasis. It will ensure financial accuracy, sustainability, regulatory compliance, and the delivery of timely financial information to support decision-making across the group. To be successful in this role, applicants will require: A recognised professional accounting qualification or part-qualification, together with a thorough practical understanding of financial and management accounting principles and techniques. Advanced working knowledge/experience of Excel and computerised accounting systems (preferably PS Financials) with the ability to interpret and extract relevant financial information. Ability to communicate complex financial information to a wide audience with varying financial backgrounds, both internally and externally Excellent inter-personal and people management experience What will you get in return? A network of peers and partners all sharing the same vision and an environment set up to ensure everyone is supported and included. A package of reward that includes a 7% employer contribution pension scheme, annual leave allowance starting at 25 days (plus Bank Holidays) increasing over time, eligibility to join the Green Commute cycle to work scheme and cash benefit health plan. Be part of an international network of Oasis charities offering opportunities to develop your career in new directions and locations. A competitive salary and workplace flexibility. As this is a newly created role, expect an evolving position that requires your insightful input, leadership and at the same time, provides incredible opportunities for the right person. To apply, please send your CV and a Supporting Statement (no more than two A4 pages). Please expand on your CV to tell us about relevant skills, experience and qualifications you have that relate to the job description and person specification. We will review applications on a rolling basis and reserve the right to close the advert if we identify suitable candidates. To avoid disappointment, please submit your application as soon as possible. If successful you will be invited to formal and practical interviews W e actively encourage applications from people of all ethnic backgrounds and underrepresented groups. If you require any assistance to overcome potential barriers during the recruitment process, please let us know. Oasis is committed to making a difference to the lives of the communities it works in, and as such you must show a willingness to demonstrate commitment to the values and behaviours which flow from the Oasis ethos. We are committed to safeguarding and promoting the welfare of children and young people. We expect all staff to share this commitment and to undergo appropriate checks, including enhanced DBS checks. The successful candidates must have the right to work in the UK. Oasis cannot assist with sponsorship or visas. Oasis supports Equal Opportunities. Registered Charity No.
Compleat Food Group
Credit Controller
Compleat Food Group Nottingham, Nottinghamshire
Credit Controller Credit Controller We're looking for a proactive and confident Credit Controller to take ownership of our receivables process, ensuring timely collections and maintaining a healthy cash flow. In this pivotal role, youll evaluate customer credit, minimise financial risk, and work closely with clients and internal teams to resolve payment issues, all whilst helping to support the finan click apply for full job details
Dec 12, 2025
Full time
Credit Controller Credit Controller We're looking for a proactive and confident Credit Controller to take ownership of our receivables process, ensuring timely collections and maintaining a healthy cash flow. In this pivotal role, youll evaluate customer credit, minimise financial risk, and work closely with clients and internal teams to resolve payment issues, all whilst helping to support the finan click apply for full job details
Remote Financial Controller: Strategy, Reporting & Growth
Thorpe Molloy McCulloch Recruitment Ltd Cove Bay, Aberdeen
A global business is seeking an experienced Financial Controller to oversee all financial and accounting activities. This fully remote role will provide leadership and high-quality financial reporting. The ideal candidate is a qualified accountant with strong analytical skills and proficiency in Excel. Experience in the not-for-profit sector is a plus. Interested candidates can contact Amanda McCulloch at .
Dec 12, 2025
Full time
A global business is seeking an experienced Financial Controller to oversee all financial and accounting activities. This fully remote role will provide leadership and high-quality financial reporting. The ideal candidate is a qualified accountant with strong analytical skills and proficiency in Excel. Experience in the not-for-profit sector is a plus. Interested candidates can contact Amanda McCulloch at .
Robert Half
Financial Controller
Robert Half Leicester, Leicestershire
Job Title: Financial Controller Location: Leicester Salary: £75,000-£85,000 per annum Employment Type: Permanent Industry: Logistics Company Overview: Our client is a leading logistics company recognised for its dynamic approach and commitment to service excellence click apply for full job details
Dec 12, 2025
Full time
Job Title: Financial Controller Location: Leicester Salary: £75,000-£85,000 per annum Employment Type: Permanent Industry: Logistics Company Overview: Our client is a leading logistics company recognised for its dynamic approach and commitment to service excellence click apply for full job details
Interim Financial Controller
SF Recruitment (Birmingham) Tamworth, Staffordshire
Interim Finance Controller (3-6 Month Fixed Term Contract) Location: Tamworth (Office-based, 5 days per week) Salary: £48,000 per annum As the business continues to expand, we are seeking an Interim Financial Controller to provide stability, leadership, and financial oversight during a period of transition and growth click apply for full job details
Dec 12, 2025
Contractor
Interim Finance Controller (3-6 Month Fixed Term Contract) Location: Tamworth (Office-based, 5 days per week) Salary: £48,000 per annum As the business continues to expand, we are seeking an Interim Financial Controller to provide stability, leadership, and financial oversight during a period of transition and growth click apply for full job details
Robert Half
Interim Financial Controller
Robert Half Leicester, Leicestershire
Interim Finance Director - SME - Leicester (On-site, 5 days/week, 6-month contract) Overview: We are seeking an experienced Interim Finance Director to join a dynamic SME based in Leicester. This is a hands-on leadership role responsible for overseeing all finance operations and supporting business performance through a period of transition click apply for full job details
Dec 12, 2025
Seasonal
Interim Finance Director - SME - Leicester (On-site, 5 days/week, 6-month contract) Overview: We are seeking an experienced Interim Finance Director to join a dynamic SME based in Leicester. This is a hands-on leadership role responsible for overseeing all finance operations and supporting business performance through a period of transition click apply for full job details
Group Financial Controller
2Excel Geo Doncaster, Yorkshire
Group Financial Controller Doncaster, Sywell or Lasham Mon-Fri, Full-time, Permanent 2Excel Aviation Ltd is an industry leader in specialised and innovative solutions for aviation's most complex challenges, and our success is based on the talented and experienced people that make up our workforce. Job Summary We are seeking a hands on and detail oriented Group Financial Controller to lead financial operations across our aviation and aerospace services group. Reporting to the Group Head of Finance this role will oversee multiple entities, sites and business units, ensuring financial integrity, regulatory compliance, and commercial insight to support sustainable growth. The role's key responsibilities will include but not be limited to: Lead preparation of consolidated financial reporting across multiple entities within the group. Ensure consistency in accounting practices, controls, and compliance across all locations. Lead delivery of timely and accurate monthly, quarterly, and annual management accounts and financial statements. Provide variance analysis and performance insights to senior leadership. Monitoring and measuring KPIs for projects, contracts, divisions and business units. Maintaining and managing group wide cash flow management forecasts. Working in collaboration with business units to manage supplier and customer relationships. Group wide budgeting and forecasting processes, aligning with operational and strategic goals. Support scenario planning for fleet expansion, contract acquisition, and capital investment. Ensure compliance with UK GAAP, IFRS, HMRC regulations, and aviation specific regulations and standards. Liaise with regulatory bodies (CAA, EASA) as required, and work with external auditors as a key contact to meet timely completion of annual audit. Work with the ESG Steering Group, support development of ESG metrics, carbon accounting and sustainability linked financial disclosures. Drive IT system enhancements and automation across finance functions (incl. ERP system implementation). Standardize reporting tools, dashboards, controls and processes across business units. Support development of finance team members and colleagues. Promote a culture of accountability, collaboration, and continuous improvement. The Successful candidate will: Be ACA, ACCA, or CIMA qualified. Have proven experience managing multi entity and multi currency financial operations. Proficient in Accounting software and ERP systems (e.g., Sage 50, SAP, Oracle etc.), advanced Excel skills and Power BI. Preferred Experience Experience in aviation / aerospace industry, or specifically with MRO (Maintenance, Repair & Overhaul), airline, aircraft leasing, or ground handling operations. Familiarity with group consolidation and intercompany accounting. Experience in intercompany transfer pricing, cross border tax planning, and compliance for international operations or leasing structures. Exposure to strategic planning and M&A activity. An understanding of aviation cost structures, contracts, and regulatory frameworks. What We Offer: In return we can offer a generous salary, 25 days holiday per year from day one plus bank holidays, 5% matched Pension scheme, Group Life Insurance, Health and Wellbeing benefits including Private Health Care and an EAP, and much more. Apply using our application form and upload your CV. You are encouraged to use the Covering Letter function to demonstrate how you meet the requirements of the role. 2Excel is committed to promoting equitable treatment, encouraging diversity and embracing inclusion in our recruitment processes and among our workforce. In addition, we are proud to be recognised as a Disability Confident Employer.
Dec 12, 2025
Full time
Group Financial Controller Doncaster, Sywell or Lasham Mon-Fri, Full-time, Permanent 2Excel Aviation Ltd is an industry leader in specialised and innovative solutions for aviation's most complex challenges, and our success is based on the talented and experienced people that make up our workforce. Job Summary We are seeking a hands on and detail oriented Group Financial Controller to lead financial operations across our aviation and aerospace services group. Reporting to the Group Head of Finance this role will oversee multiple entities, sites and business units, ensuring financial integrity, regulatory compliance, and commercial insight to support sustainable growth. The role's key responsibilities will include but not be limited to: Lead preparation of consolidated financial reporting across multiple entities within the group. Ensure consistency in accounting practices, controls, and compliance across all locations. Lead delivery of timely and accurate monthly, quarterly, and annual management accounts and financial statements. Provide variance analysis and performance insights to senior leadership. Monitoring and measuring KPIs for projects, contracts, divisions and business units. Maintaining and managing group wide cash flow management forecasts. Working in collaboration with business units to manage supplier and customer relationships. Group wide budgeting and forecasting processes, aligning with operational and strategic goals. Support scenario planning for fleet expansion, contract acquisition, and capital investment. Ensure compliance with UK GAAP, IFRS, HMRC regulations, and aviation specific regulations and standards. Liaise with regulatory bodies (CAA, EASA) as required, and work with external auditors as a key contact to meet timely completion of annual audit. Work with the ESG Steering Group, support development of ESG metrics, carbon accounting and sustainability linked financial disclosures. Drive IT system enhancements and automation across finance functions (incl. ERP system implementation). Standardize reporting tools, dashboards, controls and processes across business units. Support development of finance team members and colleagues. Promote a culture of accountability, collaboration, and continuous improvement. The Successful candidate will: Be ACA, ACCA, or CIMA qualified. Have proven experience managing multi entity and multi currency financial operations. Proficient in Accounting software and ERP systems (e.g., Sage 50, SAP, Oracle etc.), advanced Excel skills and Power BI. Preferred Experience Experience in aviation / aerospace industry, or specifically with MRO (Maintenance, Repair & Overhaul), airline, aircraft leasing, or ground handling operations. Familiarity with group consolidation and intercompany accounting. Experience in intercompany transfer pricing, cross border tax planning, and compliance for international operations or leasing structures. Exposure to strategic planning and M&A activity. An understanding of aviation cost structures, contracts, and regulatory frameworks. What We Offer: In return we can offer a generous salary, 25 days holiday per year from day one plus bank holidays, 5% matched Pension scheme, Group Life Insurance, Health and Wellbeing benefits including Private Health Care and an EAP, and much more. Apply using our application form and upload your CV. You are encouraged to use the Covering Letter function to demonstrate how you meet the requirements of the role. 2Excel is committed to promoting equitable treatment, encouraging diversity and embracing inclusion in our recruitment processes and among our workforce. In addition, we are proud to be recognised as a Disability Confident Employer.
HFG
Group Financial Controller
HFG City, London
HFG are currently partnering with a London Market insurer to appoint a Senior Finance Leader. This role sits within the Finance Leadership team and is responsible for overseeing the corporate finance function across UK and overseas entities, as well as leading the finance operations team. Reporting to the Head of Finance, you will ensure timely, accurate financial reporting, maintain strong controls, and drive process improvements. You will also act as a key liaison with internal and external stakeholders to deliver both business as usual and change initiatives. Responsibilities Lead the corporate finance function across UK and overseas entities Manage the finance operations team, ensuring accuracy, compliance and control Act as the main finance contact for internal and external partners Oversee financial reporting in line with UK GAAP and IFRS Drive continuous improvement across finance processes and systems Deliver timely financial analysis, reporting and performance insights Maintain a robust financial control environment Manage audit processes and regulatory submissions Support and deliver finance change projects while maintaining BAU Profile Qualified accountant (ACA, ACCA or equivalent) 5+ years' senior finance experience in the London Market Strong leadership and stakeholder management capability Deep knowledge of UK GAAP and IFRS Skilled in financial reporting, data analysis and systems (SUN/Oracle GL desirable) Experience with Lloyd's Syndicate accounting and associated entities Proven record of delivering finance change projects Strong understanding of industry reporting and regulatory requirements
Dec 12, 2025
Full time
HFG are currently partnering with a London Market insurer to appoint a Senior Finance Leader. This role sits within the Finance Leadership team and is responsible for overseeing the corporate finance function across UK and overseas entities, as well as leading the finance operations team. Reporting to the Head of Finance, you will ensure timely, accurate financial reporting, maintain strong controls, and drive process improvements. You will also act as a key liaison with internal and external stakeholders to deliver both business as usual and change initiatives. Responsibilities Lead the corporate finance function across UK and overseas entities Manage the finance operations team, ensuring accuracy, compliance and control Act as the main finance contact for internal and external partners Oversee financial reporting in line with UK GAAP and IFRS Drive continuous improvement across finance processes and systems Deliver timely financial analysis, reporting and performance insights Maintain a robust financial control environment Manage audit processes and regulatory submissions Support and deliver finance change projects while maintaining BAU Profile Qualified accountant (ACA, ACCA or equivalent) 5+ years' senior finance experience in the London Market Strong leadership and stakeholder management capability Deep knowledge of UK GAAP and IFRS Skilled in financial reporting, data analysis and systems (SUN/Oracle GL desirable) Experience with Lloyd's Syndicate accounting and associated entities Proven record of delivering finance change projects Strong understanding of industry reporting and regulatory requirements
Group Financial Controller
2Excel Geo Lasham, Hampshire
Group Financial Controller Doncaster, Sywell or Lasham Mon-Fri, Full-time, Permanent 2Excel Aviation Ltd is an industry leader in specialised and innovative solutions for aviation's most complex challenges, and our success is based on the talented and experienced people that make up our workforce. Job Summary We are seeking a hands on and detail oriented Group Financial Controller to lead financial operations across our aviation and aerospace services group. Reporting to the Group Head of Finance this role will oversee multiple entities, sites and business units, ensuring financial integrity, regulatory compliance, and commercial insight to support sustainable growth. The role's key responsibilities will include but not be limited to: Lead preparation of consolidated financial reporting across multiple entities within the group. Ensure consistency in accounting practices, controls, and compliance across all locations. Lead delivery of timely and accurate monthly, quarterly, and annual management accounts and financial statements. Provide variance analysis and performance insights to senior leadership. Monitoring and measuring KPIs for projects, contracts, divisions and business units. Maintaining and managing group wide cash flow management forecasts. Working in collaboration with business units to manage supplier and customer relationships. Group wide budgeting and forecasting processes, aligning with operational and strategic goals. Support scenario planning for fleet expansion, contract acquisition, and capital investment. Ensure compliance with UK GAAP, IFRS, HMRC regulations, and aviation specific regulations and standards. Liaise with regulatory bodies (CAA, EASA) as required, and work with external auditors as a key contact to meet timely completion of annual audit. Work with the ESG Steering Group, support development of ESG metrics, carbon accounting and sustainability linked financial disclosures. Drive IT system enhancements and automation across finance functions (incl. ERP system implementation). Standardize reporting tools, dashboards, controls and processes across business units. Support development of finance team members and colleagues. Promote a culture of accountability, collaboration, and continuous improvement. The Successful candidate will: Be ACA, ACCA, or CIMA qualified. Have proven experience managing multi entity and multi currency financial operations. Proficient in Accounting software and ERP systems (e.g., Sage 50, SAP, Oracle etc.), advanced Excel skills and Power BI. Preferred Experience Experience in aviation / aerospace industry, or specifically with MRO (Maintenance, Repair & Overhaul), airline, aircraft leasing, or ground handling operations. Familiarity with group consolidation and intercompany accounting. Experience in intercompany transfer pricing, cross border tax planning, and compliance for international operations or leasing structures. Exposure to strategic planning and M&A activity. An understanding of aviation cost structures, contracts, and regulatory frameworks. What We Offer: In return we can offer a generous salary, 25 days holiday per year from day one plus bank holidays, 5% matched Pension scheme, Group Life Insurance, Health and Wellbeing benefits including Private Health Care and an EAP, and much more. Apply using our application form and upload your CV. You are encouraged to use the Covering Letter function to demonstrate how you meet the requirements of the role. 2Excel is committed to promoting equitable treatment, encouraging diversity and embracing inclusion in our recruitment processes and among our workforce. In addition, we are proud to be recognised as a Disability Confident Employer.
Dec 12, 2025
Full time
Group Financial Controller Doncaster, Sywell or Lasham Mon-Fri, Full-time, Permanent 2Excel Aviation Ltd is an industry leader in specialised and innovative solutions for aviation's most complex challenges, and our success is based on the talented and experienced people that make up our workforce. Job Summary We are seeking a hands on and detail oriented Group Financial Controller to lead financial operations across our aviation and aerospace services group. Reporting to the Group Head of Finance this role will oversee multiple entities, sites and business units, ensuring financial integrity, regulatory compliance, and commercial insight to support sustainable growth. The role's key responsibilities will include but not be limited to: Lead preparation of consolidated financial reporting across multiple entities within the group. Ensure consistency in accounting practices, controls, and compliance across all locations. Lead delivery of timely and accurate monthly, quarterly, and annual management accounts and financial statements. Provide variance analysis and performance insights to senior leadership. Monitoring and measuring KPIs for projects, contracts, divisions and business units. Maintaining and managing group wide cash flow management forecasts. Working in collaboration with business units to manage supplier and customer relationships. Group wide budgeting and forecasting processes, aligning with operational and strategic goals. Support scenario planning for fleet expansion, contract acquisition, and capital investment. Ensure compliance with UK GAAP, IFRS, HMRC regulations, and aviation specific regulations and standards. Liaise with regulatory bodies (CAA, EASA) as required, and work with external auditors as a key contact to meet timely completion of annual audit. Work with the ESG Steering Group, support development of ESG metrics, carbon accounting and sustainability linked financial disclosures. Drive IT system enhancements and automation across finance functions (incl. ERP system implementation). Standardize reporting tools, dashboards, controls and processes across business units. Support development of finance team members and colleagues. Promote a culture of accountability, collaboration, and continuous improvement. The Successful candidate will: Be ACA, ACCA, or CIMA qualified. Have proven experience managing multi entity and multi currency financial operations. Proficient in Accounting software and ERP systems (e.g., Sage 50, SAP, Oracle etc.), advanced Excel skills and Power BI. Preferred Experience Experience in aviation / aerospace industry, or specifically with MRO (Maintenance, Repair & Overhaul), airline, aircraft leasing, or ground handling operations. Familiarity with group consolidation and intercompany accounting. Experience in intercompany transfer pricing, cross border tax planning, and compliance for international operations or leasing structures. Exposure to strategic planning and M&A activity. An understanding of aviation cost structures, contracts, and regulatory frameworks. What We Offer: In return we can offer a generous salary, 25 days holiday per year from day one plus bank holidays, 5% matched Pension scheme, Group Life Insurance, Health and Wellbeing benefits including Private Health Care and an EAP, and much more. Apply using our application form and upload your CV. You are encouraged to use the Covering Letter function to demonstrate how you meet the requirements of the role. 2Excel is committed to promoting equitable treatment, encouraging diversity and embracing inclusion in our recruitment processes and among our workforce. In addition, we are proud to be recognised as a Disability Confident Employer.
Group Financial Controller
Zenergi
Group Financial Controller Application Deadline: 31 December 2025 Department: Finance Employment Type: Permanent - Full Time Location: Southampton Reporting To: CFO Description Founded in 2003, Zenergi set out to simplify energy procurement, empowering organisations to make smarter, more sustainable choices, whilst also offering solutions to help organisations comply better and use better with their energy needs. The Group Financial Controller is responsible for overseeing financial operations for the company, ensuring accuracy in financial reporting, compliance and strategic financial management. The position also safeguards the finances and financial obligations of the business, adhering to financial reporting and regulatory requirements. Key Responsibilities Financial Oversight: Oversee all financial aspects of the organization, ensuring compliance with shareholder, lender and any external authorities requirements and meet within stated deadlines Month End Ownership: Ensure timely and accurate monthly financial close of ledgers for all group companies. This includes preparing balance sheet account reconciliations, ensuring correct cost and revenue recognition. Management Reporting: Develop management information reports to meet the needs of the business and produce regular management reports for executive review. Budgeting and Forecasting: Assist in the preparation of annual overhead budgets and quarterly VAT returns, providing insights for financial planning and decision-making. Cost Control: Ensure the correct systems and processes are in place to enhance tight cost controls across the organisation. Audit Lead: Lead a successful and timely audit, ensuring no material adjustments and compliance with financial regulations and standards. Team Collaboration: Develop collaborative relationships with executive board members and other directors to ensure that financial information needs are met across the organization. Systems Maintenance: Oversee our financial systems and strategy to optimize our performance and accuracy. Leadership and Development: Mentor and develop finance leaders within the organization, fostering career growth and driving continuous improvement in financial processes. Deputy for CFO: When appropriate, deputise for the CFO. This is an exciting time to be joining Zenergi and we are looking for a dynamic and motivated individual who is ready to get involved, challenge the status quo and grow with us as a company. Skills, Knowledge and Expertise Essential Relevant accounting qualification Minimum of 3-5 years working in a comparable role Excellent understanding of technical accounting standards Excellent communication and presentation skills Exceptional attention to detail Authority at all levels of the organization Desirable Experience in a similar industry Audit experience Experience of complex revenue recognition Benefits Job Type: Permanent Location: Southampton Working hours: 09:00 - 17:00 with half hour lunch break Salary: Competitive Benefits 25 days paid holiday Pension scheme - current minimum contributions are 4% Employer 5% Employee Perkbox Birthday day off Salary sacrifice electric car scheme Regular Personal Development Plan (PDP) meetings with your line manager and supported CPD opportunities
Dec 12, 2025
Full time
Group Financial Controller Application Deadline: 31 December 2025 Department: Finance Employment Type: Permanent - Full Time Location: Southampton Reporting To: CFO Description Founded in 2003, Zenergi set out to simplify energy procurement, empowering organisations to make smarter, more sustainable choices, whilst also offering solutions to help organisations comply better and use better with their energy needs. The Group Financial Controller is responsible for overseeing financial operations for the company, ensuring accuracy in financial reporting, compliance and strategic financial management. The position also safeguards the finances and financial obligations of the business, adhering to financial reporting and regulatory requirements. Key Responsibilities Financial Oversight: Oversee all financial aspects of the organization, ensuring compliance with shareholder, lender and any external authorities requirements and meet within stated deadlines Month End Ownership: Ensure timely and accurate monthly financial close of ledgers for all group companies. This includes preparing balance sheet account reconciliations, ensuring correct cost and revenue recognition. Management Reporting: Develop management information reports to meet the needs of the business and produce regular management reports for executive review. Budgeting and Forecasting: Assist in the preparation of annual overhead budgets and quarterly VAT returns, providing insights for financial planning and decision-making. Cost Control: Ensure the correct systems and processes are in place to enhance tight cost controls across the organisation. Audit Lead: Lead a successful and timely audit, ensuring no material adjustments and compliance with financial regulations and standards. Team Collaboration: Develop collaborative relationships with executive board members and other directors to ensure that financial information needs are met across the organization. Systems Maintenance: Oversee our financial systems and strategy to optimize our performance and accuracy. Leadership and Development: Mentor and develop finance leaders within the organization, fostering career growth and driving continuous improvement in financial processes. Deputy for CFO: When appropriate, deputise for the CFO. This is an exciting time to be joining Zenergi and we are looking for a dynamic and motivated individual who is ready to get involved, challenge the status quo and grow with us as a company. Skills, Knowledge and Expertise Essential Relevant accounting qualification Minimum of 3-5 years working in a comparable role Excellent understanding of technical accounting standards Excellent communication and presentation skills Exceptional attention to detail Authority at all levels of the organization Desirable Experience in a similar industry Audit experience Experience of complex revenue recognition Benefits Job Type: Permanent Location: Southampton Working hours: 09:00 - 17:00 with half hour lunch break Salary: Competitive Benefits 25 days paid holiday Pension scheme - current minimum contributions are 4% Employer 5% Employee Perkbox Birthday day off Salary sacrifice electric car scheme Regular Personal Development Plan (PDP) meetings with your line manager and supported CPD opportunities
Plant Finance Controller: Strategy, Cost Control & Growth
TE Connectivity Corporation Hastings, Sussex
A global manufacturing company in Hastings is seeking an experienced Financial Controller to lead its finance function. The ideal candidate should have strong manufacturing finance experience, proven expertise in cost accounting, and the ability to drive financial performance improvements. This role involves oversight of financial planning, reporting, and compliance, along with leading a finance team. Competitive salary and career progression opportunities are offered. Travel required is less than 10%.
Dec 12, 2025
Full time
A global manufacturing company in Hastings is seeking an experienced Financial Controller to lead its finance function. The ideal candidate should have strong manufacturing finance experience, proven expertise in cost accounting, and the ability to drive financial performance improvements. This role involves oversight of financial planning, reporting, and compliance, along with leading a finance team. Competitive salary and career progression opportunities are offered. Travel required is less than 10%.
Tax & Treasury Manager
London Metal Exchange Limited City, London
Tax & Treasury Manager page is loaded Tax & Treasury Managerlocations: UK-Londontime type: Full timeposted on: Posted Todayjob requisition id: R003240Tax & Treasury Manager Shift Pattern: Standard 40 Hour Week (United Kingdom) Scheduled Weekly Hours: 40 Corporate Grade: D - Assistant Vice President Reporting Line: (UK Division) CFAO Office Location: UK-London Worker Type: ContractThis role focuses principally on supporting the Financial Controller with the tax, treasury and other operational responsibilities of the finance function but will also include other ad hoc responsibilities re reporting, accounting and system and process improvements. Responsibilities: Responsibilities will include but are not limited to: Tax Preparation and submission of quarterly VAT returns including review of calculations for completeness, correct tax coding and reconciliations to supporting workings and general ledger balances Provision of financial information to external advisors to facilitate the preparation of quarterly tax reporting and annual Corporation Tax returns. Coordination of responses to questions raised and review / challenge of calculations provided Calculation of Corporation Tax Quarterly Instalment Payments Coordination with and provision of information to external advisors, ensuring reporting and tax obligations are met for Singapore branch. Review of calculations for associated tax submissions Monitoring and reconciliation of tax charged to / submitted by customers in other overseas locations to fulfil local reporting obligations Calculation and submission of annual PAYE Settlement Agreement Liaison with advisors to arrange training for team members and to ensure changes to tax landscape are considered and incorporated where appropriate Coordination of tax payments ensuring all are made within required deadlines Preparation and submission of annual Senior Accounting Officer declaration including review of supporting documentation and testing of associated controls Treasury Forecasting and review of operational cash flows including management of cash balances and deposits. Monitoring of deposit maturities and provision of instructions to deposit holders to maximise investment returns whilst ensuring sufficient funds are held to meet operational requirements Forecasting and review of currency exposures. Coordination and management of existing hedging instruments and consideration / implementation of additional actions as required to minimize foreign exchange gains or losses Liaison with local and parent company Treasury functions to identify new investment / risk management opportunities and to ensure relevant limits / restrictions are adhered to Other Co-ordination and preparation of Board / Committee papers including monthly Operational Governance Committee pack, tax strategy and dividend papers FATCA and CRS coordination and reporting Preparation / monitoring of Risk Appetite Statement metrics Management of relationships, mandates, documentation and onboarding with banks and other counterparties Review, update or creation of policy and procedure documentation related to role responsibilities Work closely with other members of the Finance team to identify, define and develop system and/or process improvements Deputation for Financial Controller as required Other ad hoc tasks and support as required Academic and Professional Qualifications Required: Qualified Accountant (2-5 years PQE) with a recognised accounting body (ACA, CIMA, ACCA or equivalent) Required Knowledge and Level of Experience: Required: Qualified Accountant - ideally with financial services or technology company experience Required: 2+ years post qualified experience in industry Required: Advanced MS Excel, competent using MS Word, Powerpoint Required: Experience of using a complex ERP system (SAP, Oracle etc.) Preferred: Oracle R12 experience Skills set and Core Competencies Required for Role: Strong numerical and analytical skills Meticulous and thorough, with strong attention to detail Excellent time management, ability to prioritise and to work under pressure to ensure all deadlines are met and deliverables are completed on time to a high quality Ability to communicate financial information clearly Ability to build and develop positive working relationships Ability to work as part of a small team and also to work upon own initiative Personal Qualities: Proactive, innovative and enthusiastic individual who is self-motivated and a team player Able to work under pressure of deadlines Highly motivated and driven individual who seeks to continuously improve and enhance processes and controls Ability to build and develop positive working relationships, both inside and outside the Finance department and able to adapt personal style to different audiences Demonstrable ability to work flexibly across different reporting lines and managing multiple stakeholders.Hong Kong Exchanges and Clearing Limited (HKEX) is a publicly-traded company (HKEX Stock Code:388) and one of the world's leading global exchange groups, offering a range of equity, derivative, commodity, fixed income and other financial markets, products and services, including the London Metals Exchange.As a superconnector and gateway between East and West, HKEX facilitates the two-way flow of capital, ideas and dialogue between China and the rest of world, through its pioneering Connect schemes, increasingly diversified product ecosystem and its deep, liquid and international markets.HKEX is a purpose-led organisation which, across its business and through the work of HKEX Foundation, seeks to connect, promote and progress its markets and the communities it supports for the prosperity of all.
Dec 12, 2025
Full time
Tax & Treasury Manager page is loaded Tax & Treasury Managerlocations: UK-Londontime type: Full timeposted on: Posted Todayjob requisition id: R003240Tax & Treasury Manager Shift Pattern: Standard 40 Hour Week (United Kingdom) Scheduled Weekly Hours: 40 Corporate Grade: D - Assistant Vice President Reporting Line: (UK Division) CFAO Office Location: UK-London Worker Type: ContractThis role focuses principally on supporting the Financial Controller with the tax, treasury and other operational responsibilities of the finance function but will also include other ad hoc responsibilities re reporting, accounting and system and process improvements. Responsibilities: Responsibilities will include but are not limited to: Tax Preparation and submission of quarterly VAT returns including review of calculations for completeness, correct tax coding and reconciliations to supporting workings and general ledger balances Provision of financial information to external advisors to facilitate the preparation of quarterly tax reporting and annual Corporation Tax returns. Coordination of responses to questions raised and review / challenge of calculations provided Calculation of Corporation Tax Quarterly Instalment Payments Coordination with and provision of information to external advisors, ensuring reporting and tax obligations are met for Singapore branch. Review of calculations for associated tax submissions Monitoring and reconciliation of tax charged to / submitted by customers in other overseas locations to fulfil local reporting obligations Calculation and submission of annual PAYE Settlement Agreement Liaison with advisors to arrange training for team members and to ensure changes to tax landscape are considered and incorporated where appropriate Coordination of tax payments ensuring all are made within required deadlines Preparation and submission of annual Senior Accounting Officer declaration including review of supporting documentation and testing of associated controls Treasury Forecasting and review of operational cash flows including management of cash balances and deposits. Monitoring of deposit maturities and provision of instructions to deposit holders to maximise investment returns whilst ensuring sufficient funds are held to meet operational requirements Forecasting and review of currency exposures. Coordination and management of existing hedging instruments and consideration / implementation of additional actions as required to minimize foreign exchange gains or losses Liaison with local and parent company Treasury functions to identify new investment / risk management opportunities and to ensure relevant limits / restrictions are adhered to Other Co-ordination and preparation of Board / Committee papers including monthly Operational Governance Committee pack, tax strategy and dividend papers FATCA and CRS coordination and reporting Preparation / monitoring of Risk Appetite Statement metrics Management of relationships, mandates, documentation and onboarding with banks and other counterparties Review, update or creation of policy and procedure documentation related to role responsibilities Work closely with other members of the Finance team to identify, define and develop system and/or process improvements Deputation for Financial Controller as required Other ad hoc tasks and support as required Academic and Professional Qualifications Required: Qualified Accountant (2-5 years PQE) with a recognised accounting body (ACA, CIMA, ACCA or equivalent) Required Knowledge and Level of Experience: Required: Qualified Accountant - ideally with financial services or technology company experience Required: 2+ years post qualified experience in industry Required: Advanced MS Excel, competent using MS Word, Powerpoint Required: Experience of using a complex ERP system (SAP, Oracle etc.) Preferred: Oracle R12 experience Skills set and Core Competencies Required for Role: Strong numerical and analytical skills Meticulous and thorough, with strong attention to detail Excellent time management, ability to prioritise and to work under pressure to ensure all deadlines are met and deliverables are completed on time to a high quality Ability to communicate financial information clearly Ability to build and develop positive working relationships Ability to work as part of a small team and also to work upon own initiative Personal Qualities: Proactive, innovative and enthusiastic individual who is self-motivated and a team player Able to work under pressure of deadlines Highly motivated and driven individual who seeks to continuously improve and enhance processes and controls Ability to build and develop positive working relationships, both inside and outside the Finance department and able to adapt personal style to different audiences Demonstrable ability to work flexibly across different reporting lines and managing multiple stakeholders.Hong Kong Exchanges and Clearing Limited (HKEX) is a publicly-traded company (HKEX Stock Code:388) and one of the world's leading global exchange groups, offering a range of equity, derivative, commodity, fixed income and other financial markets, products and services, including the London Metals Exchange.As a superconnector and gateway between East and West, HKEX facilitates the two-way flow of capital, ideas and dialogue between China and the rest of world, through its pioneering Connect schemes, increasingly diversified product ecosystem and its deep, liquid and international markets.HKEX is a purpose-led organisation which, across its business and through the work of HKEX Foundation, seeks to connect, promote and progress its markets and the communities it supports for the prosperity of all.
Financial Controller
Trial Balance Plymouth, Devon
Financial Controller - Plymouth / Hybrid - £60-70,000 (Neg DOE) + future share options/performance related bonus It's not often that we're assigned by an employer whose current revenue amounts to zero! So, if you're wondering why they're in the market to invest in an experienced, professionally qualified finance-number-one, you'd do well to read on Trial Balance Consulting have recently met with this new client, a quasi-start-up tech business, who have exclusively retained us to source their new Financial Controller in preparation for the launch of a unique product (something of a global first); a specialist digital platform which will shortly be rolled out to a global audience and is anticipated to generate substantial revenue across multiple currencies. The opportunity is the vocational equivalent of a blank canvas and the successful candidate will have absolute autonomy for designing, implementing and developing financial systems, controls and building the function through ongoing recruitment. This is a full time, permanent opportunity that can be operated on a hybrid working arrangement with a minimum of 3 days per week based in central Plymouth offices. The opportunity is so unique, we've not even agreed a suitable title, we'll leave that to the new incumbent to work out. It blurs the lines of Financial Controller, Finance Director and CFO, with a broad range of responsibilities; operational, technical and strategic. We're looking for a finance professional who would relish the opportunity to project manage all aspects of the financial health and prosperity of a business which is likely to see a complex line of revenue derived from multiple currency payments over an advanced digital platform. We're not going to bullet-point individual responsibilities because from day one, the technical demands of managing existing transactions is going to be a doddle for an experienced FC (or whatever title is agreed), it's the developmentof systems and managing payment processing systems that's going to fill the working week. The focus of this role is strategy; anticipating growth, budgeting, forecasting, creating robust and effective systems, and acting as a key advisor, contributor and member of the senior management team. The CEO's energy is infectious and he's a well-connected guy. With a highly experienced tier-one team, whose past experience include executive roles with some highly recognisable digital trading brands, he's built a passionate and knowledgeable army across all areas of the business - all poised to push out of the starting blocks. We're searching for finance leader with similar qualities. Who would the role suit? This is not a typical finance role and it won't be suited to a wallflower. By the CEO's own admission, applicants should be strong minded, challenging and disruptive, even verging on argumentative! The incoming FC won't have a predecessor, there'll be no systems in place, and the senior management team will be feeding from their ideas. The successful candidate will need to understand the business inside out; how its revenue model is designed and operated, cashflow, global opportunities and challenges. The perfect candidate: Probably (but not essentially), trained and professionally qualified in practice (ACA/ACCA/CIMA), perhaps with 2-7 years PQE and a similar amount of experience in industry. Experience gained with a start-up or tech business would hit the jackpot, but all sector experience considered. The role calls for solid technical accounting experience in the traditional sense but more importantly, commercial and strategic awareness that can be honed to a rapidly evolving business. The CEO anticipates this person quickly developing to Finance Director or CFO. Curious? It's certainly a unique assignment! For further details, to apply, or for an off the record chat, please contact Jay Vilarrubi-Smith or Alex Callister quoting reference JVS9003. Timing: Fairly urgent, this employer would like to have their new colleague in place by June 23'.
Dec 12, 2025
Full time
Financial Controller - Plymouth / Hybrid - £60-70,000 (Neg DOE) + future share options/performance related bonus It's not often that we're assigned by an employer whose current revenue amounts to zero! So, if you're wondering why they're in the market to invest in an experienced, professionally qualified finance-number-one, you'd do well to read on Trial Balance Consulting have recently met with this new client, a quasi-start-up tech business, who have exclusively retained us to source their new Financial Controller in preparation for the launch of a unique product (something of a global first); a specialist digital platform which will shortly be rolled out to a global audience and is anticipated to generate substantial revenue across multiple currencies. The opportunity is the vocational equivalent of a blank canvas and the successful candidate will have absolute autonomy for designing, implementing and developing financial systems, controls and building the function through ongoing recruitment. This is a full time, permanent opportunity that can be operated on a hybrid working arrangement with a minimum of 3 days per week based in central Plymouth offices. The opportunity is so unique, we've not even agreed a suitable title, we'll leave that to the new incumbent to work out. It blurs the lines of Financial Controller, Finance Director and CFO, with a broad range of responsibilities; operational, technical and strategic. We're looking for a finance professional who would relish the opportunity to project manage all aspects of the financial health and prosperity of a business which is likely to see a complex line of revenue derived from multiple currency payments over an advanced digital platform. We're not going to bullet-point individual responsibilities because from day one, the technical demands of managing existing transactions is going to be a doddle for an experienced FC (or whatever title is agreed), it's the developmentof systems and managing payment processing systems that's going to fill the working week. The focus of this role is strategy; anticipating growth, budgeting, forecasting, creating robust and effective systems, and acting as a key advisor, contributor and member of the senior management team. The CEO's energy is infectious and he's a well-connected guy. With a highly experienced tier-one team, whose past experience include executive roles with some highly recognisable digital trading brands, he's built a passionate and knowledgeable army across all areas of the business - all poised to push out of the starting blocks. We're searching for finance leader with similar qualities. Who would the role suit? This is not a typical finance role and it won't be suited to a wallflower. By the CEO's own admission, applicants should be strong minded, challenging and disruptive, even verging on argumentative! The incoming FC won't have a predecessor, there'll be no systems in place, and the senior management team will be feeding from their ideas. The successful candidate will need to understand the business inside out; how its revenue model is designed and operated, cashflow, global opportunities and challenges. The perfect candidate: Probably (but not essentially), trained and professionally qualified in practice (ACA/ACCA/CIMA), perhaps with 2-7 years PQE and a similar amount of experience in industry. Experience gained with a start-up or tech business would hit the jackpot, but all sector experience considered. The role calls for solid technical accounting experience in the traditional sense but more importantly, commercial and strategic awareness that can be honed to a rapidly evolving business. The CEO anticipates this person quickly developing to Finance Director or CFO. Curious? It's certainly a unique assignment! For further details, to apply, or for an off the record chat, please contact Jay Vilarrubi-Smith or Alex Callister quoting reference JVS9003. Timing: Fairly urgent, this employer would like to have their new colleague in place by June 23'.

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