• Home
  • Search Jobs
  • Register CV
  • Post a Job
  • Employer Pricing
  • Contact Us
  • Sign in
  • Sign up
  • Home
  • Search Jobs
  • Register CV
  • Post a Job
  • Employer Pricing
  • Contact Us
Sorry, that job is no longer available. Here are some results that may be similar to the job you were looking for.

328 jobs found

Email me jobs like this
Refine Search
Current Search
commercial accountant
Venture Recruitment Partners
Finance Manager
Venture Recruitment Partners Poole, Dorset
Senior Finance Manager. Poole. £70K Salary + 10% Bonus & Strong Benefits Office Based The Role: Venture Recruitment Partners are supporting a market-leading, private equity-backed SME, with their recruitment of an ambitious Finance Manager, based in Poole.The business is based out of stunning waterside offices, and the successful candidate will have access to free weekly PT sessions at their on-site gym, as well being given time out of your working week to take part in company social events, charity initiatives and regular well-being breaks.The Finance department is also renowned for their stable yet progressive approach and having real a impact on the direction of the business. This is a hands-on role reporting directly to the Head of Finance, with ownership for the day-to-day running of finance, whilst offering an excellent mix of commercial finance and leadership duties. Key Responsibilities: Producing monthly management accounts for multiple entities Preparing analysis for Board and Committee packs Supporting with statutory accounts and coordination of external audits Line managing, mentoring, and developing junior members of the finance team Working closely with the FP&A Analyst to support budgeting, forecasting, and financial analysis Identifying opportunities to improve finance processes, systems, and reporting to support scalability and efficiency Experience and Qualifications: Fully qualified accountant (ACA/ACCA) with post-qualification experience Experience working in a multi-entity and/or fast-growth business Strong technical accounting knowledge with a hands-on, detail-focused approach Knowledge of supervising and developing finance team members Commercial mindset and proactive, confident process improver Benefits: 25 days' holiday plus bank holidays 5% company pension scheme employer contribution Free car parking, on-site gym and fitness classes 10% discretionary annual bonus scheme Regular social events and quarterly peer-voted awards. If this sounds like you, please apply or get in contact via All applicants must have the right to work in the UK. We will consider all qualified applications for this position. Venture Recruitment Partners does not discriminate against disability, sex, race, gender identity, sexual orientation, religion, national origin, age, veteran status, or any other status protected under the Equality Act 2010. Venture Recruitment Partners (also trading as Chilworth Partnership Ltd) is a Recruitment Agency. By applying for this role, you are authorising us as a Recruitment Agency to contact you and to provide services and information relating to job hunting activities. Please see our Privacy Policy at .
Mar 08, 2026
Full time
Senior Finance Manager. Poole. £70K Salary + 10% Bonus & Strong Benefits Office Based The Role: Venture Recruitment Partners are supporting a market-leading, private equity-backed SME, with their recruitment of an ambitious Finance Manager, based in Poole.The business is based out of stunning waterside offices, and the successful candidate will have access to free weekly PT sessions at their on-site gym, as well being given time out of your working week to take part in company social events, charity initiatives and regular well-being breaks.The Finance department is also renowned for their stable yet progressive approach and having real a impact on the direction of the business. This is a hands-on role reporting directly to the Head of Finance, with ownership for the day-to-day running of finance, whilst offering an excellent mix of commercial finance and leadership duties. Key Responsibilities: Producing monthly management accounts for multiple entities Preparing analysis for Board and Committee packs Supporting with statutory accounts and coordination of external audits Line managing, mentoring, and developing junior members of the finance team Working closely with the FP&A Analyst to support budgeting, forecasting, and financial analysis Identifying opportunities to improve finance processes, systems, and reporting to support scalability and efficiency Experience and Qualifications: Fully qualified accountant (ACA/ACCA) with post-qualification experience Experience working in a multi-entity and/or fast-growth business Strong technical accounting knowledge with a hands-on, detail-focused approach Knowledge of supervising and developing finance team members Commercial mindset and proactive, confident process improver Benefits: 25 days' holiday plus bank holidays 5% company pension scheme employer contribution Free car parking, on-site gym and fitness classes 10% discretionary annual bonus scheme Regular social events and quarterly peer-voted awards. If this sounds like you, please apply or get in contact via All applicants must have the right to work in the UK. We will consider all qualified applications for this position. Venture Recruitment Partners does not discriminate against disability, sex, race, gender identity, sexual orientation, religion, national origin, age, veteran status, or any other status protected under the Equality Act 2010. Venture Recruitment Partners (also trading as Chilworth Partnership Ltd) is a Recruitment Agency. By applying for this role, you are authorising us as a Recruitment Agency to contact you and to provide services and information relating to job hunting activities. Please see our Privacy Policy at .
Reed
Finance Business Partner (Systems)
Reed Bristol, Somerset
Reed Finance are partnering with a high-growth tech business based in Bristol looking for a tech-savvy Finance Systems Business Partner (Implementation Specialist). This is a career-defining move for an ambitious Accountant who wants to step away from traditional reporting and lead at the intersection of finance and technology. Flexible/ Hybrid working Lovely team & collaborative culture Future-proof career path and culture of encouraging career progression Generous benefits The Opportunity: Drive Digital Transformation My client isn't just looking for an accountant; they need a strategic consultant to bridge the gap between financial operations and cutting-edge ERP technology. System Leadership: Lead end-to-end ERP implementations, ensuring complex system integrations align with diverse client needs. Consultative Approach: Identify client "pain points" and translate them into technical solutions that drive commercial value. Stakeholder Management: Work across cross-functional teams to deliver expert training and domain expertise. Defined Progression: This role offers a unique development path into Solution Design and Architecture , with structured mentoring to move you into high-level solution design and commercial strategy.
Mar 08, 2026
Full time
Reed Finance are partnering with a high-growth tech business based in Bristol looking for a tech-savvy Finance Systems Business Partner (Implementation Specialist). This is a career-defining move for an ambitious Accountant who wants to step away from traditional reporting and lead at the intersection of finance and technology. Flexible/ Hybrid working Lovely team & collaborative culture Future-proof career path and culture of encouraging career progression Generous benefits The Opportunity: Drive Digital Transformation My client isn't just looking for an accountant; they need a strategic consultant to bridge the gap between financial operations and cutting-edge ERP technology. System Leadership: Lead end-to-end ERP implementations, ensuring complex system integrations align with diverse client needs. Consultative Approach: Identify client "pain points" and translate them into technical solutions that drive commercial value. Stakeholder Management: Work across cross-functional teams to deliver expert training and domain expertise. Defined Progression: This role offers a unique development path into Solution Design and Architecture , with structured mentoring to move you into high-level solution design and commercial strategy.
Butler Rose
Controlling Finance Manager R2R
Butler Rose
Butler Rose is delighted to be partnering with a major international group to appoint a Controlling Finance Manager - European Shared Services. This is not a maintenance role, we are seeking a candidate who is a transformer, building documented and scalable processes. The European Shared Service Centre is at a pivotal stage in its evolution, moving from a fragmented, transaction-focused model to a mature, standardised, insight-driven finance function. The Director is seeking a transformational finance leader who has operated within large corporate environments, led sizeable finance teams, and successfully delivered change at scale. This is an office based position. The Opportunity This role will lead and reshape the end-to-end Record to Report (R2R) function across multiple European entities. You will inherit an established structure and evolve it into a high-performing, value-adding controlling organisation operating within a US-listed, SOX-controlled framework. The successful candidate will: Lead a team of (direct and indirect reports) within a complex, multi-entity environment Transition the function from general ledger processing to true financial control and performance insight Embed structure, ownership, service levels and best-practice governance Partner with Group Finance, Tax, Treasury and senior stakeholders Drive automation, optimisation and standardisation across finance systems This is a leadership seat on the European management team with significant visibility across the Group. We are seeking someone who can demonstrate: Large corporate exposure Experience operating within sizeable, complex, multi-entity organisations Exposure to listed / SOX-controlled environments- is an advantage Leadership of larger finance teams, ideally within shared services or centralised models Change & Transformation Leadership Proven track record of leading teams through structural and cultural change Experience transitioning finance teams from transactional processing to insight-led controlling Delivery of measurable improvements in close cycle, reporting quality and governance Coaching & Development Strong people leadership capability Demonstrable success in developing and upskilling finance professionals Ability to create accountability, clarity and performance culture Technical & Systems Capability Strong R2R, financial reporting and balance sheet governance expertise Exposure to complex IFRS / multi-GAAP reporting environments SAP S/4HANA and/or OneStream exposure advantageous Experience with other large ERP and consolidation platforms equally valued Key requirements Fully qualified accountant (ACA, ACCA, CIMA or equivalent) Significant senior-level R2R / Financial Reporting leadership experience Background within large corporate environments / multinational with scale and complexity Confident operating at VP Finance stakeholder level Energetic, resilient and commercially aware Beneifts include: 15% Bonus, BUPA Health, Excellent Pension, Income Protection, Life Assurance and much more! Why Apply? This is a rare opportunity to shape the maturity journey of a European Shared Service Centre within a global business. You will have the mandate, sponsorship and scale to genuinely transform, not simply oversee an established function. If you are a strategic finance leader who thrives in change environments and is motivated by building capability, structure and performance at scale, we would welcome a confidential discussion. Butler Rose is committed to equality in the workplace and is an equal opportunity employer.Butler Rose Ltd is acting as an Employment Business in relation to this vacancy.
Mar 08, 2026
Full time
Butler Rose is delighted to be partnering with a major international group to appoint a Controlling Finance Manager - European Shared Services. This is not a maintenance role, we are seeking a candidate who is a transformer, building documented and scalable processes. The European Shared Service Centre is at a pivotal stage in its evolution, moving from a fragmented, transaction-focused model to a mature, standardised, insight-driven finance function. The Director is seeking a transformational finance leader who has operated within large corporate environments, led sizeable finance teams, and successfully delivered change at scale. This is an office based position. The Opportunity This role will lead and reshape the end-to-end Record to Report (R2R) function across multiple European entities. You will inherit an established structure and evolve it into a high-performing, value-adding controlling organisation operating within a US-listed, SOX-controlled framework. The successful candidate will: Lead a team of (direct and indirect reports) within a complex, multi-entity environment Transition the function from general ledger processing to true financial control and performance insight Embed structure, ownership, service levels and best-practice governance Partner with Group Finance, Tax, Treasury and senior stakeholders Drive automation, optimisation and standardisation across finance systems This is a leadership seat on the European management team with significant visibility across the Group. We are seeking someone who can demonstrate: Large corporate exposure Experience operating within sizeable, complex, multi-entity organisations Exposure to listed / SOX-controlled environments- is an advantage Leadership of larger finance teams, ideally within shared services or centralised models Change & Transformation Leadership Proven track record of leading teams through structural and cultural change Experience transitioning finance teams from transactional processing to insight-led controlling Delivery of measurable improvements in close cycle, reporting quality and governance Coaching & Development Strong people leadership capability Demonstrable success in developing and upskilling finance professionals Ability to create accountability, clarity and performance culture Technical & Systems Capability Strong R2R, financial reporting and balance sheet governance expertise Exposure to complex IFRS / multi-GAAP reporting environments SAP S/4HANA and/or OneStream exposure advantageous Experience with other large ERP and consolidation platforms equally valued Key requirements Fully qualified accountant (ACA, ACCA, CIMA or equivalent) Significant senior-level R2R / Financial Reporting leadership experience Background within large corporate environments / multinational with scale and complexity Confident operating at VP Finance stakeholder level Energetic, resilient and commercially aware Beneifts include: 15% Bonus, BUPA Health, Excellent Pension, Income Protection, Life Assurance and much more! Why Apply? This is a rare opportunity to shape the maturity journey of a European Shared Service Centre within a global business. You will have the mandate, sponsorship and scale to genuinely transform, not simply oversee an established function. If you are a strategic finance leader who thrives in change environments and is motivated by building capability, structure and performance at scale, we would welcome a confidential discussion. Butler Rose is committed to equality in the workplace and is an equal opportunity employer.Butler Rose Ltd is acting as an Employment Business in relation to this vacancy.
Muller
FP&A Marketing Finance Business Partner
Muller Market Drayton, Shropshire
We're Hiring: FP&A Marketing Finance Business Partner Location: Market Drayton / Hybrid - 3 days per week on site. Contract: Full-Time, Permanent Hours: Monday-Friday (40 hours) Benefits for the role: Competitive salary, generous annual bonus, Life Assurance, Private Medical Insurance, 25 days holiday plus bank holidays (rising with service), Enhanced Maternity & Paternity Family Leave, Enhanced Bereavement Leave, Pension Employer Contribution Scheme (matched up to 8%), Exclusive access to M ller Rewards, offering a variety of online and in-store discounts and development opportunities. If you are ready to unleash your potential and build an exciting career with Britian's most chosen dairy brand, M ller UK & Ireland, part of the renowned Unternehmensgruppe Theo M ller, invites you to apply for our FP&A Marketing Finance Business Partner position. As our FP&A Marketing Finance Business Partner, you will provide support on all financial planning processes within the combined Yogurt & Desserts business unit. You will act as a key business partner to the Marketing team providing day to day financial and commercial decision support. What you'll do: - Co-ordination of the Controlling month end process: Day 4-month end review meeting and management of the month end timetable Bridging analysis to explain the profit result vs forecast, budget and prior year -Day 6 month and reporting pack. Business Partner Key Brand Teams: Vertically Business partner Brand Teams- providing financial and commercial decision support and insight to drive the business forwards in these areas, covering all Yogurts & Desserts brands: Management of Brand P&LS Input into the PEP process Key challenges / input into the monthly Brand Review meetings Dealing with day-to-day queries from your key contacts Ad-hoc reporting and analysis as & when required Manage the financial input to the Clarity system and ensure aligns with financial plans, ensure post launch reviews are completed. Provide support & challenge to the Marketing team on Marketing budgets. Ownership of the quarterly forecast process. Financial input into the brand review meeting cycle in terms of brand p&l performance mth, ytd and full year forecast. Financial Support to the annual (budget) and mid term (3YP) planning processes: Development & management of the timetables for the total Y&D Business Unit. Financial analysis on the branded business explaining the key planning assumptions and variances. Preparation of standard Group financial charts & presentations for both the branded & private label businesses. Delivery of profitability reporting to Group (total Y&D BU): Day 8 Scorecard and supplementary schedules Preparation of financial charts for the group business reviews Weekly volume reporting to group First point of contact for ad-hoc queries Financial Support provided to the Marketing Investment budget: Pre-evaluation of investment decisions Freeze pot management Quarterly forecasting Budget planning Co-ordination of the monthly BOP Financial Forecast: Produce P&LS for both branded & PL businesses -Financial evaluation of constrained demand plan Highlighting gap to targets What you'll bring: - Qualified accountant (CIMA preferable) Graduate level (2:1 minimum in business discipline) Essential Specialist/Technical skills / abilities: Ability to remain accurate in a fast-paced commercial environment whilst remaining pragmatic in judgment of materiality. Ability to provide decision support & challenge to the commercial teams Structured approach to managing priorities across multiple projects over different time horizons Being able to take a holistic view across the commercial sphere to ensure decisions are appropriate and do not lead to conflicting actions Previous commercial finance experience in decision support role. Desirable Specialist/Technical skills / abilities: Previous experience financial planning & reporting. Competent in SAP (CO-PA). Experience of working within a FMCG environment. Soft skills: Building strong relationships across the commercial teams to ensure involvement in decisions up front. Dynamic with the ability to make an impact. Driven individual eager for role / career progression. Demonstrates high accountability for role responsibilities / projects / initiatives. The Process If you have the skills and experience in the above areas and would like to be considered for this role, please apply at (url removed) You can find out more about M ller and what it's like to work for us by clicking here Careers at M ller UK & Ireland
Mar 08, 2026
Full time
We're Hiring: FP&A Marketing Finance Business Partner Location: Market Drayton / Hybrid - 3 days per week on site. Contract: Full-Time, Permanent Hours: Monday-Friday (40 hours) Benefits for the role: Competitive salary, generous annual bonus, Life Assurance, Private Medical Insurance, 25 days holiday plus bank holidays (rising with service), Enhanced Maternity & Paternity Family Leave, Enhanced Bereavement Leave, Pension Employer Contribution Scheme (matched up to 8%), Exclusive access to M ller Rewards, offering a variety of online and in-store discounts and development opportunities. If you are ready to unleash your potential and build an exciting career with Britian's most chosen dairy brand, M ller UK & Ireland, part of the renowned Unternehmensgruppe Theo M ller, invites you to apply for our FP&A Marketing Finance Business Partner position. As our FP&A Marketing Finance Business Partner, you will provide support on all financial planning processes within the combined Yogurt & Desserts business unit. You will act as a key business partner to the Marketing team providing day to day financial and commercial decision support. What you'll do: - Co-ordination of the Controlling month end process: Day 4-month end review meeting and management of the month end timetable Bridging analysis to explain the profit result vs forecast, budget and prior year -Day 6 month and reporting pack. Business Partner Key Brand Teams: Vertically Business partner Brand Teams- providing financial and commercial decision support and insight to drive the business forwards in these areas, covering all Yogurts & Desserts brands: Management of Brand P&LS Input into the PEP process Key challenges / input into the monthly Brand Review meetings Dealing with day-to-day queries from your key contacts Ad-hoc reporting and analysis as & when required Manage the financial input to the Clarity system and ensure aligns with financial plans, ensure post launch reviews are completed. Provide support & challenge to the Marketing team on Marketing budgets. Ownership of the quarterly forecast process. Financial input into the brand review meeting cycle in terms of brand p&l performance mth, ytd and full year forecast. Financial Support to the annual (budget) and mid term (3YP) planning processes: Development & management of the timetables for the total Y&D Business Unit. Financial analysis on the branded business explaining the key planning assumptions and variances. Preparation of standard Group financial charts & presentations for both the branded & private label businesses. Delivery of profitability reporting to Group (total Y&D BU): Day 8 Scorecard and supplementary schedules Preparation of financial charts for the group business reviews Weekly volume reporting to group First point of contact for ad-hoc queries Financial Support provided to the Marketing Investment budget: Pre-evaluation of investment decisions Freeze pot management Quarterly forecasting Budget planning Co-ordination of the monthly BOP Financial Forecast: Produce P&LS for both branded & PL businesses -Financial evaluation of constrained demand plan Highlighting gap to targets What you'll bring: - Qualified accountant (CIMA preferable) Graduate level (2:1 minimum in business discipline) Essential Specialist/Technical skills / abilities: Ability to remain accurate in a fast-paced commercial environment whilst remaining pragmatic in judgment of materiality. Ability to provide decision support & challenge to the commercial teams Structured approach to managing priorities across multiple projects over different time horizons Being able to take a holistic view across the commercial sphere to ensure decisions are appropriate and do not lead to conflicting actions Previous commercial finance experience in decision support role. Desirable Specialist/Technical skills / abilities: Previous experience financial planning & reporting. Competent in SAP (CO-PA). Experience of working within a FMCG environment. Soft skills: Building strong relationships across the commercial teams to ensure involvement in decisions up front. Dynamic with the ability to make an impact. Driven individual eager for role / career progression. Demonstrates high accountability for role responsibilities / projects / initiatives. The Process If you have the skills and experience in the above areas and would like to be considered for this role, please apply at (url removed) You can find out more about M ller and what it's like to work for us by clicking here Careers at M ller UK & Ireland
Muller
Financial Controller - Commercial
Muller Market Drayton, Shropshire
We're Hiring: Financial Controller-Commercial Location: Market Drayton / Hybrid - 3 days per week on site. Contract: Full-Time, Permanent Hours: Monday-Friday (40 hours) Benefits for the role: Competitive salary, generous annual bonus, Life Assurance, Company car or cash allowance, Private Medical Insurance, 25 days holiday plus bank holidays (rising with service), Enhanced Maternity & Paternity Family Leave, Enhanced Bereavement Leave, Pension Employer Contribution Scheme (matched up to 8%), Exclusive access to M ller Rewards, offering a variety of online and in-store discounts and development opportunities. With over 31,000 employees across Europe and a long-standing commitment to excellence, M ller is a family-owned business known for its dedication to quality, innovation, and growth. In the UK alone, we produce a wide range of leading branded and private-label dairy products, from yogurts and desserts to butter and flavoured milk. If you are ready to unleash your potential and build an exciting career with Britian's most chosen dairy brand, M ller UK & Ireland, part of the renowned Unternehmensgruppe Theo M ller, invites you to apply for our Financial Controller-Commercial position. As Financial Controller-Commercial, you will operate as Finance lead & Number 2 to the Finance Director managing the revenue of a + 0.5BN company and to act as Co-Pilot to the Commercial Director covering both Brand and Private Label ensuring that both long and short term commercial & financial targets are met. What you'll do: - Co-pilot the Commercial Director and SLT providing financial insights, support and challenge on key commercial topics to ensure sustainable profitable growth of the business. Deputise for the Finance Director on an ad-hoc basis and support in delivery of key projects Delivery of the in-year monthly top line financial forecast and risks and opportunities ensuring we have the plans to deliver the annual budget Provide value added reporting on top line performance, clearly identifying key drivers and effectively communicating with key stakeholders Lead the end-to-end commercial bottom-up budget build for the next year (Year 1 of Strategy Plan) Finance lead on Private Label contract negotiations and tenders, making clear recommendations on future cost prices. Finance lead supporting Branded Sales team on joint customer business plans. Management of the commercial month end close. Owner of the balance sheet liability for trade accruals. Key point of contact for the external audit. Responsible for commercial sign off, ensuring compliance with internal policies Focus on process and system development within Commercial Finance to drive greater efficiency and to enable improved effectiveness in terms of planning and reporting. General management of direct reports including 1:1's, PDPs and objective setting. Nurture and develop talent and support individuals with development plans. Drive engagement through delivering EOS action plan. What you'll bring: - Qualified Accountant with 10+ years experience Commercial finance experience is essential along with broader experience across the Finance discipline, notably within both financial and management accounting. Experience within FMCG or Manufacturing required. Commercially minded, strong business partner. Into the detail, but also ability to make "complex simple". Strong leader, able to inspire, equip and enable others Strong willed - comfortable having the tough conversations. Can manage and influence upwards and challenge the status quo. Experience in managing large teams of qualified accountants Continuous improvement mentality The Process If you have the skills and experience in the above areas and would like to be considered for this role, please apply at (url removed) You can find out more about M ller and what it's like to work for us by clicking here Careers at M ller UK & Ireland
Mar 08, 2026
Full time
We're Hiring: Financial Controller-Commercial Location: Market Drayton / Hybrid - 3 days per week on site. Contract: Full-Time, Permanent Hours: Monday-Friday (40 hours) Benefits for the role: Competitive salary, generous annual bonus, Life Assurance, Company car or cash allowance, Private Medical Insurance, 25 days holiday plus bank holidays (rising with service), Enhanced Maternity & Paternity Family Leave, Enhanced Bereavement Leave, Pension Employer Contribution Scheme (matched up to 8%), Exclusive access to M ller Rewards, offering a variety of online and in-store discounts and development opportunities. With over 31,000 employees across Europe and a long-standing commitment to excellence, M ller is a family-owned business known for its dedication to quality, innovation, and growth. In the UK alone, we produce a wide range of leading branded and private-label dairy products, from yogurts and desserts to butter and flavoured milk. If you are ready to unleash your potential and build an exciting career with Britian's most chosen dairy brand, M ller UK & Ireland, part of the renowned Unternehmensgruppe Theo M ller, invites you to apply for our Financial Controller-Commercial position. As Financial Controller-Commercial, you will operate as Finance lead & Number 2 to the Finance Director managing the revenue of a + 0.5BN company and to act as Co-Pilot to the Commercial Director covering both Brand and Private Label ensuring that both long and short term commercial & financial targets are met. What you'll do: - Co-pilot the Commercial Director and SLT providing financial insights, support and challenge on key commercial topics to ensure sustainable profitable growth of the business. Deputise for the Finance Director on an ad-hoc basis and support in delivery of key projects Delivery of the in-year monthly top line financial forecast and risks and opportunities ensuring we have the plans to deliver the annual budget Provide value added reporting on top line performance, clearly identifying key drivers and effectively communicating with key stakeholders Lead the end-to-end commercial bottom-up budget build for the next year (Year 1 of Strategy Plan) Finance lead on Private Label contract negotiations and tenders, making clear recommendations on future cost prices. Finance lead supporting Branded Sales team on joint customer business plans. Management of the commercial month end close. Owner of the balance sheet liability for trade accruals. Key point of contact for the external audit. Responsible for commercial sign off, ensuring compliance with internal policies Focus on process and system development within Commercial Finance to drive greater efficiency and to enable improved effectiveness in terms of planning and reporting. General management of direct reports including 1:1's, PDPs and objective setting. Nurture and develop talent and support individuals with development plans. Drive engagement through delivering EOS action plan. What you'll bring: - Qualified Accountant with 10+ years experience Commercial finance experience is essential along with broader experience across the Finance discipline, notably within both financial and management accounting. Experience within FMCG or Manufacturing required. Commercially minded, strong business partner. Into the detail, but also ability to make "complex simple". Strong leader, able to inspire, equip and enable others Strong willed - comfortable having the tough conversations. Can manage and influence upwards and challenge the status quo. Experience in managing large teams of qualified accountants Continuous improvement mentality The Process If you have the skills and experience in the above areas and would like to be considered for this role, please apply at (url removed) You can find out more about M ller and what it's like to work for us by clicking here Careers at M ller UK & Ireland
Mackie Myers
Director of Finance and Corporate Services
Mackie Myers
Director of Finance and Corporate Services £120,000 per annum plus benefits Hybrid role Summary A strategic executive role leading STEP's global financial strategy, corporate services and risk management. Ideal for a senior finance leader with strong commercial awareness, multi-functional leadership experience, and a passion for driving organisational excellence across finance, risk and operations. Our Client STEP is the leading global professional body for practitioners in trusts and estates. The organisation supports thousands of members worldwide through education, standards, research and governance. Find out more about STEP - The Role As Director of Finance & Corporate Services, you will steer STEP's financial strategy, ensure robust financial governance, and lead a high-performing multi-disciplinary directorate spanning finance, risk and corporate services, proactively managing work streams and risks across the directorate. Key focus areas include: Leading financial planning, reporting, budgeting and consolidated annual accounts of a global organisation Overseeing risk management, controls and compliance frameworks Providing leadership across Finance, HR, IT, Membership Services and Facilities Acting as Company Secretary and strategic partner to the Chief Executive, Board and colleagues within the Executive team Ensuring strong systems, processes and organisational resilience Main Duties You will take executive ownership of STEP's financial management, corporate services provision and organisation-wide risk culture. Further information is contained within the Job Description & Person Specification for the role. Core responsibilities include: Leading all accounting, treasury, forecasting and financial reporting activities Developing STEP's annual activity-based budget and financial strategy Ensuring robust IT systems, data protection, cyber security and wider compliance Delivering risk management strategy Overseeing HR and membership operations The Successful Candidate A qualified accountant (ACA, ACCA, CIMA or equivalent) with at least 5 years' post-qualification experience in senior financial leadership. Demonstrable track record in consolidated accounts, strategic budgeting, financial modelling and presenting at Board level. Proven leadership across finance, risk and multi-functional corporate services. Strategic, collaborative, influential and adept at inspiring teams through change. Globally aware, proactive, organised and committed to STEP's values and culture. What's on offer? £120,000 per annum plus benefits Hybrid working (minimum 2 days in London office, 3 days working from home - UK based) International exposure with occasional global travel Comprehensive benefits, strong organisational values and a culture of collaboration Opportunity to influence strategy at Board level and lead a high-impact directorate Ability to make a difference within a respected global professional body Application Process Candidates are required to upload a CV and answer a set of application questions to be considered for this role. First stage Interviews will take place on the 24th and 25th March and second interviews will take place on the 31st March and 1st April. Candidates who wish to understand more about the vacancy before submitting an application, can reach out to Our Commitment to Equality, Diversity, and Inclusion We believe that diverse teams drive innovation and success. That's why we're committed to promoting equality of opportunity and creating inclusive workplaces where everyone feels valued and supported. We actively seek out talent from all backgrounds and strive to reflect the rich diversity of the global workforce in every role we recruit for.
Mar 08, 2026
Full time
Director of Finance and Corporate Services £120,000 per annum plus benefits Hybrid role Summary A strategic executive role leading STEP's global financial strategy, corporate services and risk management. Ideal for a senior finance leader with strong commercial awareness, multi-functional leadership experience, and a passion for driving organisational excellence across finance, risk and operations. Our Client STEP is the leading global professional body for practitioners in trusts and estates. The organisation supports thousands of members worldwide through education, standards, research and governance. Find out more about STEP - The Role As Director of Finance & Corporate Services, you will steer STEP's financial strategy, ensure robust financial governance, and lead a high-performing multi-disciplinary directorate spanning finance, risk and corporate services, proactively managing work streams and risks across the directorate. Key focus areas include: Leading financial planning, reporting, budgeting and consolidated annual accounts of a global organisation Overseeing risk management, controls and compliance frameworks Providing leadership across Finance, HR, IT, Membership Services and Facilities Acting as Company Secretary and strategic partner to the Chief Executive, Board and colleagues within the Executive team Ensuring strong systems, processes and organisational resilience Main Duties You will take executive ownership of STEP's financial management, corporate services provision and organisation-wide risk culture. Further information is contained within the Job Description & Person Specification for the role. Core responsibilities include: Leading all accounting, treasury, forecasting and financial reporting activities Developing STEP's annual activity-based budget and financial strategy Ensuring robust IT systems, data protection, cyber security and wider compliance Delivering risk management strategy Overseeing HR and membership operations The Successful Candidate A qualified accountant (ACA, ACCA, CIMA or equivalent) with at least 5 years' post-qualification experience in senior financial leadership. Demonstrable track record in consolidated accounts, strategic budgeting, financial modelling and presenting at Board level. Proven leadership across finance, risk and multi-functional corporate services. Strategic, collaborative, influential and adept at inspiring teams through change. Globally aware, proactive, organised and committed to STEP's values and culture. What's on offer? £120,000 per annum plus benefits Hybrid working (minimum 2 days in London office, 3 days working from home - UK based) International exposure with occasional global travel Comprehensive benefits, strong organisational values and a culture of collaboration Opportunity to influence strategy at Board level and lead a high-impact directorate Ability to make a difference within a respected global professional body Application Process Candidates are required to upload a CV and answer a set of application questions to be considered for this role. First stage Interviews will take place on the 24th and 25th March and second interviews will take place on the 31st March and 1st April. Candidates who wish to understand more about the vacancy before submitting an application, can reach out to Our Commitment to Equality, Diversity, and Inclusion We believe that diverse teams drive innovation and success. That's why we're committed to promoting equality of opportunity and creating inclusive workplaces where everyone feels valued and supported. We actively seek out talent from all backgrounds and strive to reflect the rich diversity of the global workforce in every role we recruit for.
Cedar
Senior FP&A Analyst
Cedar
Senior FP&A AnalystLocation: City of London Office-based (5 days per week)Salary: £67,500 + 5% discretionary bonus Permanent, full time role A global technology company is looking for a bright, confident, and commercially minded Senior FP&A Analyst to join their high-performing finance team in the City of London. This is an excellent opportunity for an ambitious qualified accountant who enjoys working closely with senior stakeholders, driving insight, and making a real impact on business performance. The Role This is a brand new role where the successful candidate will play a key role in supporting financial planning, forecasting, and capital planning across a complex international business. Acting as a trusted partner to senior leadership, you will provide high-quality analysis, reporting, and insight to support strategic decision-making. Key responsibilities include: Delivering a timely month-end close with clear P&L analysis and insights for senior management Consolidating monthly business reporting and KPIs across departments Supporting production and review of financial statements (P&L, balance sheet, and cash flow) Managing FP&A queries and ensuring alignment with global reporting timelines Driving reporting consistency and influencing stakeholders across the business Leading performance reporting forums covering revenue, costs, and headcount Supporting senior finance leaders with ad-hoc analysis and strategic projects What They Are Looking For Qualified accountant (ACA, ACCA, or CIMA) Advanced Excel skills (essential) Strong analytical and financial modelling capability Confident, personable communicator who can engage senior stakeholders Bright, proactive, and keen to learn Strong initiative and ability to challenge where necessary Proven ability to meet tight deadlines in a fast-paced environment Why Apply High visibility with senior leadership Exposure to an international business environment A strong commercial focus beyond traditional reporting Excellent career progression potential within a global organisation If you are a driven FP&A professional looking to step into a highly visible, commercially impactful role, this could be the perfect next move. Please note only shortlisted candidates will be contacted.
Mar 08, 2026
Full time
Senior FP&A AnalystLocation: City of London Office-based (5 days per week)Salary: £67,500 + 5% discretionary bonus Permanent, full time role A global technology company is looking for a bright, confident, and commercially minded Senior FP&A Analyst to join their high-performing finance team in the City of London. This is an excellent opportunity for an ambitious qualified accountant who enjoys working closely with senior stakeholders, driving insight, and making a real impact on business performance. The Role This is a brand new role where the successful candidate will play a key role in supporting financial planning, forecasting, and capital planning across a complex international business. Acting as a trusted partner to senior leadership, you will provide high-quality analysis, reporting, and insight to support strategic decision-making. Key responsibilities include: Delivering a timely month-end close with clear P&L analysis and insights for senior management Consolidating monthly business reporting and KPIs across departments Supporting production and review of financial statements (P&L, balance sheet, and cash flow) Managing FP&A queries and ensuring alignment with global reporting timelines Driving reporting consistency and influencing stakeholders across the business Leading performance reporting forums covering revenue, costs, and headcount Supporting senior finance leaders with ad-hoc analysis and strategic projects What They Are Looking For Qualified accountant (ACA, ACCA, or CIMA) Advanced Excel skills (essential) Strong analytical and financial modelling capability Confident, personable communicator who can engage senior stakeholders Bright, proactive, and keen to learn Strong initiative and ability to challenge where necessary Proven ability to meet tight deadlines in a fast-paced environment Why Apply High visibility with senior leadership Exposure to an international business environment A strong commercial focus beyond traditional reporting Excellent career progression potential within a global organisation If you are a driven FP&A professional looking to step into a highly visible, commercially impactful role, this could be the perfect next move. Please note only shortlisted candidates will be contacted.
The Accountancy Recruitment Group Ltd
Finance Business Partner
The Accountancy Recruitment Group Ltd Chorley, Lancashire
Finance Business Partner Chorley £50,000 - £55,000 + benefits The Opportunity Mega role for someone part qual or newly qualified (CIMA / ACCA). Up to £55,000. Finance Business Partner. Proper added-value FBP not glorified management accounting. This is a proper cracker (no xmas pun intended). If you are (or know) an ambitious Finance Analyst / Management Accountant / Finance Business Partner who would thrive in a modern, tech-led SME amid a phase of rapid growth and scale-up then get in touch! You'll be specifically partnering the marketing and sales areas of the business - building really strong relationships and getting a hugely valuable commercial understanding of which actions and activities supercharge growth and profit. Your role is to couple your analytical & data interrogation ability with your communication skills & business acumen to bring top drawer MI to the table. Really robustly understanding what drives spend, profit and revenue growth. What are customers engaging with and reacting to, where is the best return on investment, what does the ROI actually look like, where is time and money best spent Interesting and vital insights that the business will love you for! You'll spend time working with the wider business; drilling into performance and KPIs, tracking variances financial modelling, building dashboards, revitalising the way financial info is presented to the team, data visualisation. You are bringing ideas and insights that will actually impact the business and inform decision making. Working with an absolutely ace part of the business and some talented people who are fun to be around. This is a fast paced, growing (like 30%+ up year on year growing) SME in the £20m - £50m turnover bracket. You can make a massive difference, have rapid career development opportunity and be in a truly commercial FBP role. Required: A background within financial analysis or management accounting / finance business partnering / commercial analysis. Great analytical skills (maybe understanding of Power BI) and ability to interrogate high volume data sets to bring helpful MI to the table. Ability to communicate with non finance colleagues - specifically within commercial roles (sales / marketing / promotions / online etc) A naturally curious, positive and proactive approach. You'll have a genuine interest in business and the levers of growth and profit. CIMA or ACCA Part qualified or qualified ideally (or similar experience of partnering a marketing / promotional team within a fast paced modern business) North West (commutable Preston, Wigan, Blackburn, Bolton North Manchester areas). Apply now If you are an awesome analyst / management accountant who loves the business-facing and business partnering elements of the role then click 'apply now' or contact our team direct.
Mar 08, 2026
Full time
Finance Business Partner Chorley £50,000 - £55,000 + benefits The Opportunity Mega role for someone part qual or newly qualified (CIMA / ACCA). Up to £55,000. Finance Business Partner. Proper added-value FBP not glorified management accounting. This is a proper cracker (no xmas pun intended). If you are (or know) an ambitious Finance Analyst / Management Accountant / Finance Business Partner who would thrive in a modern, tech-led SME amid a phase of rapid growth and scale-up then get in touch! You'll be specifically partnering the marketing and sales areas of the business - building really strong relationships and getting a hugely valuable commercial understanding of which actions and activities supercharge growth and profit. Your role is to couple your analytical & data interrogation ability with your communication skills & business acumen to bring top drawer MI to the table. Really robustly understanding what drives spend, profit and revenue growth. What are customers engaging with and reacting to, where is the best return on investment, what does the ROI actually look like, where is time and money best spent Interesting and vital insights that the business will love you for! You'll spend time working with the wider business; drilling into performance and KPIs, tracking variances financial modelling, building dashboards, revitalising the way financial info is presented to the team, data visualisation. You are bringing ideas and insights that will actually impact the business and inform decision making. Working with an absolutely ace part of the business and some talented people who are fun to be around. This is a fast paced, growing (like 30%+ up year on year growing) SME in the £20m - £50m turnover bracket. You can make a massive difference, have rapid career development opportunity and be in a truly commercial FBP role. Required: A background within financial analysis or management accounting / finance business partnering / commercial analysis. Great analytical skills (maybe understanding of Power BI) and ability to interrogate high volume data sets to bring helpful MI to the table. Ability to communicate with non finance colleagues - specifically within commercial roles (sales / marketing / promotions / online etc) A naturally curious, positive and proactive approach. You'll have a genuine interest in business and the levers of growth and profit. CIMA or ACCA Part qualified or qualified ideally (or similar experience of partnering a marketing / promotional team within a fast paced modern business) North West (commutable Preston, Wigan, Blackburn, Bolton North Manchester areas). Apply now If you are an awesome analyst / management accountant who loves the business-facing and business partnering elements of the role then click 'apply now' or contact our team direct.
Square Peg Associates
Administrator (Professional Services)
Square Peg Associates Bolton, Lancashire
We are seeking a motivated and experienced Administrator from a professional services background. The successful candidate will be responsible for providing administrative support to a team of experienced accountants. Key Responsibilities Providing administration support to a team of experienced individuals across a highly renowned accountancy practice Assist with the onboarding process of new clients Drafting and preparing letters, correspondence and all related documents Diary management - planning and organising the clients service schedules, notifying clients of specific action required by deadline dates Supporting the team with invoicing, expense forms and other administration tasks Answering the telephone with professionalism Manage and maintain standard letter templates and producing mailshots as required Filing of documents with Companies House and HMRC Managing meeting rooms Qualifications and Experience A minimum of 5 years within a professional administration role and company Good organisational and time management skills Strong communication and interpersonal skills Proven ability to work independently and as part of a team Strong attention to detail and problem-solving skills Willingness to learn and adapt to new technologies The position offers a competitive salary and benefits package Hours: 9am - 5pm which can also be flexible to suit, between the hours of 8am - 6pm. Join this dynamic team and contribute to the continued growth! If you're an ambitious individual with a passion for your work, we'd love to hear from you. About Square Peg Associates At Square Peg Associates, we are a leading recruitment consultancy specialising in finance and commercial business professionals within the North West of England. Our approach is personal and tailored to each candidate. We not only consider the qualifications listed on their CVs but also take the time to understand them on a deeper level. Before representing any candidate to our esteemed client base, we build strong relationships with them. If you're interested in exploring our current vacancies, visit our website at Squarepegassociates.co.uk.
Mar 08, 2026
Full time
We are seeking a motivated and experienced Administrator from a professional services background. The successful candidate will be responsible for providing administrative support to a team of experienced accountants. Key Responsibilities Providing administration support to a team of experienced individuals across a highly renowned accountancy practice Assist with the onboarding process of new clients Drafting and preparing letters, correspondence and all related documents Diary management - planning and organising the clients service schedules, notifying clients of specific action required by deadline dates Supporting the team with invoicing, expense forms and other administration tasks Answering the telephone with professionalism Manage and maintain standard letter templates and producing mailshots as required Filing of documents with Companies House and HMRC Managing meeting rooms Qualifications and Experience A minimum of 5 years within a professional administration role and company Good organisational and time management skills Strong communication and interpersonal skills Proven ability to work independently and as part of a team Strong attention to detail and problem-solving skills Willingness to learn and adapt to new technologies The position offers a competitive salary and benefits package Hours: 9am - 5pm which can also be flexible to suit, between the hours of 8am - 6pm. Join this dynamic team and contribute to the continued growth! If you're an ambitious individual with a passion for your work, we'd love to hear from you. About Square Peg Associates At Square Peg Associates, we are a leading recruitment consultancy specialising in finance and commercial business professionals within the North West of England. Our approach is personal and tailored to each candidate. We not only consider the qualifications listed on their CVs but also take the time to understand them on a deeper level. Before representing any candidate to our esteemed client base, we build strong relationships with them. If you're interested in exploring our current vacancies, visit our website at Squarepegassociates.co.uk.
Jeffries Recruitment
Finance Business Partner
Jeffries Recruitment Cheltenham, Gloucestershire
A leading professional services firm is looking to recruit a Finance Business Partner to work closely with senior leaders across the business. This is a commercially focused role where you will provide financial insight, challenge assumptions and help leaders make informed decisions that drive performance and long-term growth. The role Lead budgeting, forecasting and long-term financial planning Work with senior leaders to forecast revenue, utilisation and resource needs Analyse financial performance and explain key variances Identify risks, opportunities and potential cost savings Support pricing decisions and engagement profitability Present financial data in a clear and meaningful way through reports and dashboards Maintain strong financial controls and governance Act as a key link between the finance team and the wider business Support improvements to systems, processes and reporting tools About you Qualified accountant (Ideally CIMor equivalent) Around 5-10 years' experience in a commercial finance role Strong analytical and financial modelling skills Confident communicating with senior stakeholders Able to translate complex financial data into clear business insight Strong Excel skills and good knowledge of MS Office Why apply? Join a well-established professional services firm with a strong national presence Collaborative and supportive culture Clear opportunities for career progression Flexible working arrangements Competitive salary and benefits package This is an excellent opportunity for a commercially minded finance professional who enjoys partnering with senior leaders and influencing business performance.
Mar 08, 2026
Full time
A leading professional services firm is looking to recruit a Finance Business Partner to work closely with senior leaders across the business. This is a commercially focused role where you will provide financial insight, challenge assumptions and help leaders make informed decisions that drive performance and long-term growth. The role Lead budgeting, forecasting and long-term financial planning Work with senior leaders to forecast revenue, utilisation and resource needs Analyse financial performance and explain key variances Identify risks, opportunities and potential cost savings Support pricing decisions and engagement profitability Present financial data in a clear and meaningful way through reports and dashboards Maintain strong financial controls and governance Act as a key link between the finance team and the wider business Support improvements to systems, processes and reporting tools About you Qualified accountant (Ideally CIMor equivalent) Around 5-10 years' experience in a commercial finance role Strong analytical and financial modelling skills Confident communicating with senior stakeholders Able to translate complex financial data into clear business insight Strong Excel skills and good knowledge of MS Office Why apply? Join a well-established professional services firm with a strong national presence Collaborative and supportive culture Clear opportunities for career progression Flexible working arrangements Competitive salary and benefits package This is an excellent opportunity for a commercially minded finance professional who enjoys partnering with senior leaders and influencing business performance.
Robert Walters
Group Financial Controller
Robert Walters
A high-growth SaaS business, backed by one of Europe's most respected PE firms, is scaling fast and needs a Group Financial Controller to help lead the charge. Cross-border reporting, ERP implementation, M&A exposure and direct CFO partnership. A genuine career-defining opportunity to have a real impact with a fantastic business. GROUP FINANCIAL CONTROLLER Leading PE-Backed Technology Business London £90,000-£100,000 PE-Backed SaaS High-Growth Global This is a rare opportunity to join one of the most exciting PE-backed technology businesses in London at a pivotal moment in its growth story. Our client is a high-growth SaaS business, backed by one of Europe's most respected private equity firms with a clear mandate to scale. With institutional grade backing and an ambitious growth agenda, this is a business genuinely built for what comes next. They are now looking for a commercially sharp, technically strong Group Financial Controller to sit at the heart of their finance function. The Role Reporting directly to the CFO, the Group Financial Controller will own end-to-end financial operations across the business's UK and international entities. This is a high-visibility, hands-on leadership role with significant exposure to Private Equity stakeholders, M&A activity and board-level reporting. Key Responsibilities Lead and continuously improve the monthly and year-end close processes, delivering accurate, timely group reporting and consolidated management accounts Own cross-border reporting across UK, US and European entities including navigating US state tax complexity and international compliance obligations Spearhead the migration from to a more fit for purpose ERP, leading the project from decision through to execution and embedding best-practice processes Lead revenue recognition, deferred income and SaaS contract accounting in line with IFRS/UK GAAP Support M&A and investment activity including financial due diligence on buy-side and sell-side transactions, and post-acquisition integration Own cash-flow forecasting, treasury management and PE investor/covenant reporting Manage statutory filings, audit preparation, corporate tax, R&D tax claims and VAT compliance across all entities Partner with FP&A to deliver board packs, investor reporting and commercial insight to support the business's continued expansion Drive stakeholder relationships with the CFO, Board, PE investors, auditors and banking partners What We Are Looking For Background in a PE-backed technology business, ideally SaaS or recurring-revenue with a strong understanding of what operating under Private Equity ownership demands Cross-border reporting experience, specifically including US entities and the complexity of multi-state tax reporting Hands-on involvement in a systems implementation ERP migration or equivalent, with the ability to lead and own the process end-to-end Demonstrable experience supporting M&A and financial due diligence activity, whether buy-side, sell-side or both Qualified accountant (ACA / ACCA / CIMA) with approximately 5-10 years' post-qualification experience Strong technical accounting skills across IFRS/UK GAAP, group consolidations, audit and compliance A hands-on, proactive approach - this is a role for a doer as much as a leader The Package A highly competitive package is on offer, commensurate with the seniority of the role. Full details will be discussed at application stage. Interested? Let's Talk. To find out more or to apply in confide n ce, please contact Liam Stubbs at Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates
Mar 08, 2026
Full time
A high-growth SaaS business, backed by one of Europe's most respected PE firms, is scaling fast and needs a Group Financial Controller to help lead the charge. Cross-border reporting, ERP implementation, M&A exposure and direct CFO partnership. A genuine career-defining opportunity to have a real impact with a fantastic business. GROUP FINANCIAL CONTROLLER Leading PE-Backed Technology Business London £90,000-£100,000 PE-Backed SaaS High-Growth Global This is a rare opportunity to join one of the most exciting PE-backed technology businesses in London at a pivotal moment in its growth story. Our client is a high-growth SaaS business, backed by one of Europe's most respected private equity firms with a clear mandate to scale. With institutional grade backing and an ambitious growth agenda, this is a business genuinely built for what comes next. They are now looking for a commercially sharp, technically strong Group Financial Controller to sit at the heart of their finance function. The Role Reporting directly to the CFO, the Group Financial Controller will own end-to-end financial operations across the business's UK and international entities. This is a high-visibility, hands-on leadership role with significant exposure to Private Equity stakeholders, M&A activity and board-level reporting. Key Responsibilities Lead and continuously improve the monthly and year-end close processes, delivering accurate, timely group reporting and consolidated management accounts Own cross-border reporting across UK, US and European entities including navigating US state tax complexity and international compliance obligations Spearhead the migration from to a more fit for purpose ERP, leading the project from decision through to execution and embedding best-practice processes Lead revenue recognition, deferred income and SaaS contract accounting in line with IFRS/UK GAAP Support M&A and investment activity including financial due diligence on buy-side and sell-side transactions, and post-acquisition integration Own cash-flow forecasting, treasury management and PE investor/covenant reporting Manage statutory filings, audit preparation, corporate tax, R&D tax claims and VAT compliance across all entities Partner with FP&A to deliver board packs, investor reporting and commercial insight to support the business's continued expansion Drive stakeholder relationships with the CFO, Board, PE investors, auditors and banking partners What We Are Looking For Background in a PE-backed technology business, ideally SaaS or recurring-revenue with a strong understanding of what operating under Private Equity ownership demands Cross-border reporting experience, specifically including US entities and the complexity of multi-state tax reporting Hands-on involvement in a systems implementation ERP migration or equivalent, with the ability to lead and own the process end-to-end Demonstrable experience supporting M&A and financial due diligence activity, whether buy-side, sell-side or both Qualified accountant (ACA / ACCA / CIMA) with approximately 5-10 years' post-qualification experience Strong technical accounting skills across IFRS/UK GAAP, group consolidations, audit and compliance A hands-on, proactive approach - this is a role for a doer as much as a leader The Package A highly competitive package is on offer, commensurate with the seniority of the role. Full details will be discussed at application stage. Interested? Let's Talk. To find out more or to apply in confide n ce, please contact Liam Stubbs at Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates
Altum Consulting
Interim P2P Director
Altum Consulting
Interim P2P Director, 3 month day rate, ASAP start. Altum Consulting are recruiting for an interim Procure-to-Pay (P2P) Director to join a fast growing technology business based in central London for a 4 month period. This role will lead the end-to-end P2P function during a continued period of growth ahead of a permanent hire. The successful candidate will bring strong leadership capability, process improvement expertise, and prior experience operating within dynamic, scaling technology-driven environments. Role: Provide strategic and operational leadership of the end-to-end Procure-to-Pay function, including Procurement Operations, Accounts Payable, and Vendor Management Assess current P2P processes, systems, and controls; identify gaps and implement improvements to drive efficiency & compliance. Lead and support ongoing transformation initiatives, including process automation and system optimisation Ensure robust financial controls, governance, and compliance with internal policies and regulatory requirements Partner closely with Finance, Technology, Commercial, and Operations teams to improve cross-functional alignment Oversee supplier onboarding, payment cycles, and query resolution to maintain strong vendor relationships Provide leadership, mentoring, and direction to the existing P2P team Deliver clear reporting and actionable insights to senior leadership You'll be/have: Qualified Accountant with proven experience operating as a P2P Director, Head of P2P, or similar senior leadership role Deep understanding of P2P processes, controls, and best practices Strong leadership and stakeholder management skills Hands-on, pragmatic approach with the ability to deliver impact quickly Available immediately For further information on this new role please contact Jen McMurray on the attached details. Candidates will be considered immediately for interview and start.
Mar 08, 2026
Seasonal
Interim P2P Director, 3 month day rate, ASAP start. Altum Consulting are recruiting for an interim Procure-to-Pay (P2P) Director to join a fast growing technology business based in central London for a 4 month period. This role will lead the end-to-end P2P function during a continued period of growth ahead of a permanent hire. The successful candidate will bring strong leadership capability, process improvement expertise, and prior experience operating within dynamic, scaling technology-driven environments. Role: Provide strategic and operational leadership of the end-to-end Procure-to-Pay function, including Procurement Operations, Accounts Payable, and Vendor Management Assess current P2P processes, systems, and controls; identify gaps and implement improvements to drive efficiency & compliance. Lead and support ongoing transformation initiatives, including process automation and system optimisation Ensure robust financial controls, governance, and compliance with internal policies and regulatory requirements Partner closely with Finance, Technology, Commercial, and Operations teams to improve cross-functional alignment Oversee supplier onboarding, payment cycles, and query resolution to maintain strong vendor relationships Provide leadership, mentoring, and direction to the existing P2P team Deliver clear reporting and actionable insights to senior leadership You'll be/have: Qualified Accountant with proven experience operating as a P2P Director, Head of P2P, or similar senior leadership role Deep understanding of P2P processes, controls, and best practices Strong leadership and stakeholder management skills Hands-on, pragmatic approach with the ability to deliver impact quickly Available immediately For further information on this new role please contact Jen McMurray on the attached details. Candidates will be considered immediately for interview and start.
Jackson Hogg
Finance Manager
Jackson Hogg Gateshead, Tyne And Wear
An established and growing manufacturing business is looking to appoint an experienced finance professional to support the Finance Director and help lead the finance function. Key Responsibilities Preparation of monthly management accounts including accruals, prepayments and group reporting Lead and develop the finance team, ensuring strong controls and accurate financial reporting Manage the year-end process including statutory accounts and external audit Work closely with the Finance Director and senior leadership team to monitor performance vs budget and provide financial insight Partner with commercial and operational teams to improve order-to-cash processes and cash management Oversee working capital, cashflow monitoring and invoice factoring processes Support budgeting, forecasting and reforecast processes including full P&L, balance sheet and cashflow Drive continuous improvement across finance processes, systems and controls Candidate Profile Qualified accountant with strong technical accounting knowledge Experience producing management and statutory accounts Proven ability to lead and develop finance teams Strong commercial awareness and ability to partner with the wider business Proactive, organised and comfortable managing multiple priorities in a fast-paced environment
Mar 08, 2026
Full time
An established and growing manufacturing business is looking to appoint an experienced finance professional to support the Finance Director and help lead the finance function. Key Responsibilities Preparation of monthly management accounts including accruals, prepayments and group reporting Lead and develop the finance team, ensuring strong controls and accurate financial reporting Manage the year-end process including statutory accounts and external audit Work closely with the Finance Director and senior leadership team to monitor performance vs budget and provide financial insight Partner with commercial and operational teams to improve order-to-cash processes and cash management Oversee working capital, cashflow monitoring and invoice factoring processes Support budgeting, forecasting and reforecast processes including full P&L, balance sheet and cashflow Drive continuous improvement across finance processes, systems and controls Candidate Profile Qualified accountant with strong technical accounting knowledge Experience producing management and statutory accounts Proven ability to lead and develop finance teams Strong commercial awareness and ability to partner with the wider business Proactive, organised and comfortable managing multiple priorities in a fast-paced environment
Chief Financial Officer
Barnsley Football Club Stevenage, Hertfordshire
Stevenage FC seek an enthusiastic, highly skilled and experienced CFO. Based at our Stadium offices in Stevenage Herts and reporting to the Chairman and Board of Directors, this is an exciting position for a leader who wants to build something, not just manage it. Stevenage FC is at an exciting stage of its journey. The CFO will be a key architect of the Club's future, helping translate ambition into sustainable success - on the pitch, in the stands and on the balance sheet - in football as well as investments into related businesses. The Chief Financial Officer will be a senior leader within Stevenage FC, responsible not only for financial stewardship and governance, but for building overall growth with high-performing teams, inspiring a growth mindset, and enabling the Club's long-term sporting and commercial ambitions. We seek a modern CFO: an exceptionally talented and experienced accountant, commercially astute, people-focused, strategically minded, and comfortable operating in the fast-moving, high-pressure environment of professional football and other Group businesses. This position often requires additional working outside of normal office hours, at evenings, at weekends, on match days and on bank holidays/public holidays as req uired to meet the demands of the Clubs business es . Lead, develop and inspire the Club's finance and administrative teams, creating a culture of accountability, ambition and continuous improvement. Act as a trusted strategic partner to the Chairman and Board, providing clear, confident leadership on financial and operational decisions and being involved in key decision making. Act as an entrepreneurial partner to the Chairman in a variety of Family businesses. Align financial planning with on-pitch success, fan engagement and commercial expansion in all Clubs businesses. Build strong cross-departmental relationships. Core Responsibilities Strategic & Commercial Help shape and execute the Club's medium and long-term strategy, including promotion ambitions, infrastructure investment and commercial growth. Evaluate and support investment opportunities, including ownership structures, external funding, and partnerships. Drive improved commercial performance, working closely with commercial and marketing teams on pricing, fan engagement and revenue growth Support football operations with robust financial modelling, including playing budgets, recruitment strategy and wage management. Working with the Head of Accounting, full responsibility for budgeting, forecasting, cash flow management and financial reporting. Ensure compliance with EFL regulations, SCMP, financial fair play rules, and statutory requirements. Lead the annual audit process and manage relationships with external advisors, auditors and regulators. Establish clear financial controls while maintaining agility appropriate to a competitive football environment. Oversee key operational functions linked to finance, including payroll, procurement and systems. About The Candidate Key personal points 5+ years senior financial leadership experience, ideally within sport, entertainment, or another fast-paced, consumer-facing business. Demonstrated ability to lead and inspire teams, not just manage them. Strong commercial instinct and strategic thinking capability. Excellent communication skills, able to influence at Board level and engage across the organisation. Professional accounting qualification (ACA, ACCA, CIMA or equivalent). Experience in professional football or a regulated sporting environment. Experience working with investors, private equity, or owner-managed businesses. Understanding of EFL financial regulations and football governance (or the appetite and speed to master them). Personal Attributes Inspirational, personable, credible and calm under pressure. Collaborative and people-centric leadership style. Commercially curious with a bias toward action. Comfortable balancing ambition with financial discipline. Passion for sport and belief in football as a growth business, not just a cost centre. About The Club Stevenage Football Club has continued to make waves in the world of football since its formation in 1976. The club was formed as Stevenage Borough following the bankruptcy of Stevenage Athletic and after spending the first decade and a half of the clubs history moving up and down the Isthmian League's, promotion to the Football Conference was finally confirmed in 1994. Despite winning the league just two seasons later, inadequate ground facilities meant promotion was denied. 14 years later, justice was finally served as a record breaking Conference title winning campaign saw the club become a Football League side for the first time in the club's history in 2010. Promotion to League One soon followed where the club spent three seasons in the third tier of English Football before re-joining League Two in 2014.
Mar 08, 2026
Full time
Stevenage FC seek an enthusiastic, highly skilled and experienced CFO. Based at our Stadium offices in Stevenage Herts and reporting to the Chairman and Board of Directors, this is an exciting position for a leader who wants to build something, not just manage it. Stevenage FC is at an exciting stage of its journey. The CFO will be a key architect of the Club's future, helping translate ambition into sustainable success - on the pitch, in the stands and on the balance sheet - in football as well as investments into related businesses. The Chief Financial Officer will be a senior leader within Stevenage FC, responsible not only for financial stewardship and governance, but for building overall growth with high-performing teams, inspiring a growth mindset, and enabling the Club's long-term sporting and commercial ambitions. We seek a modern CFO: an exceptionally talented and experienced accountant, commercially astute, people-focused, strategically minded, and comfortable operating in the fast-moving, high-pressure environment of professional football and other Group businesses. This position often requires additional working outside of normal office hours, at evenings, at weekends, on match days and on bank holidays/public holidays as req uired to meet the demands of the Clubs business es . Lead, develop and inspire the Club's finance and administrative teams, creating a culture of accountability, ambition and continuous improvement. Act as a trusted strategic partner to the Chairman and Board, providing clear, confident leadership on financial and operational decisions and being involved in key decision making. Act as an entrepreneurial partner to the Chairman in a variety of Family businesses. Align financial planning with on-pitch success, fan engagement and commercial expansion in all Clubs businesses. Build strong cross-departmental relationships. Core Responsibilities Strategic & Commercial Help shape and execute the Club's medium and long-term strategy, including promotion ambitions, infrastructure investment and commercial growth. Evaluate and support investment opportunities, including ownership structures, external funding, and partnerships. Drive improved commercial performance, working closely with commercial and marketing teams on pricing, fan engagement and revenue growth Support football operations with robust financial modelling, including playing budgets, recruitment strategy and wage management. Working with the Head of Accounting, full responsibility for budgeting, forecasting, cash flow management and financial reporting. Ensure compliance with EFL regulations, SCMP, financial fair play rules, and statutory requirements. Lead the annual audit process and manage relationships with external advisors, auditors and regulators. Establish clear financial controls while maintaining agility appropriate to a competitive football environment. Oversee key operational functions linked to finance, including payroll, procurement and systems. About The Candidate Key personal points 5+ years senior financial leadership experience, ideally within sport, entertainment, or another fast-paced, consumer-facing business. Demonstrated ability to lead and inspire teams, not just manage them. Strong commercial instinct and strategic thinking capability. Excellent communication skills, able to influence at Board level and engage across the organisation. Professional accounting qualification (ACA, ACCA, CIMA or equivalent). Experience in professional football or a regulated sporting environment. Experience working with investors, private equity, or owner-managed businesses. Understanding of EFL financial regulations and football governance (or the appetite and speed to master them). Personal Attributes Inspirational, personable, credible and calm under pressure. Collaborative and people-centric leadership style. Commercially curious with a bias toward action. Comfortable balancing ambition with financial discipline. Passion for sport and belief in football as a growth business, not just a cost centre. About The Club Stevenage Football Club has continued to make waves in the world of football since its formation in 1976. The club was formed as Stevenage Borough following the bankruptcy of Stevenage Athletic and after spending the first decade and a half of the clubs history moving up and down the Isthmian League's, promotion to the Football Conference was finally confirmed in 1994. Despite winning the league just two seasons later, inadequate ground facilities meant promotion was denied. 14 years later, justice was finally served as a record breaking Conference title winning campaign saw the club become a Football League side for the first time in the club's history in 2010. Promotion to League One soon followed where the club spent three seasons in the third tier of English Football before re-joining League Two in 2014.
Robert Walters
Head of Finance
Robert Walters
Robert Walters - Head of Finance - Permanent - North Warwickshire - Hybrid - £80,000-£90,000 per annum Job title: Head of Finance Location: North Warwickshire Salary: £80,000-£90,000 per annum Hours: Full time Role details A fast-growing organisation in North Warwickshire is seeking a Head of Finance to join their team. This is a key leadership role responsible for overseeing all aspects of financial management, including budgeting, forecasting, reporting, and compliance, ensuring the organisation's long-term stability and growth. As Head of Finance, you will develop and deliver robust financial strategies aligned to organisational objectives, while partnering closely with senior stakeholders to provide clear insight, analysis, and recommendations that support effective decision-making. You will lead and mentor the finance team, fostering a collaborative and inclusive environment that encourages professional development and knowledge sharing. Responsibilities of the Head of Finance Oversee all aspects of financial management including budgeting, forecasting, reporting, and compliance to ensure the organisation's long-term stability and growth. Develop and implement robust financial strategies that align with organisational objectives while fostering a culture of collaboration across departments. Provide insightful analysis and recommendations to senior stakeholders, supporting informed decision-making through clear communication and dependable advice. Lead, mentor, and nurture the finance team by promoting knowledge sharing, professional development, and an inclusive working environment. Ensure accurate preparation of monthly, quarterly, and annual accounts in accordance with relevant accounting standards and regulatory requirements. Manage relationships with external auditors, banks, and other partners to maintain trust and transparency throughout all financial processes. Monitor cash flow, investments, and risk management activities to safeguard the organisation's assets while supporting sustainable growth initiatives. Drive continuous improvement in financial systems, processes, and controls by encouraging feedback from colleagues at all levels. Support the wider business with ad hoc projects such as system upgrades or process reviews by providing expert guidance rooted in empathy and understanding. What the successful candidate will bring Fully qualified accountant. Experience within an SME in senior finance roles where you have demonstrated responsibility for end-to-end financial management. Excellent interpersonal skills that enable you to communicate complex information clearly while showing empathy for colleagues' perspectives. High level of integrity combined with attention to detail when preparing reports or managing sensitive information. Ability to manage multiple priorities calmly under pressure while maintaining accuracy and dependability throughout busy periods. What sets this company apart This organisation offers a rare blend of stability and innovation, combining over two decades of technical expertise with the backing of a global software group. Professional growth is central, with emerging technologies, evolving processes and cross-functional collaboration across engineering, operations and commercial teams, there are abundant opportunities to deepen financial, technical and leadership capabilities. At the Robert Walters Group, we endeavour to contact all candidates to register their details. However, due to the high number of applications we receive, if we have not reached out to you within 72 hours, please assume that you have been unsuccessful on this occasion. Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates
Mar 08, 2026
Full time
Robert Walters - Head of Finance - Permanent - North Warwickshire - Hybrid - £80,000-£90,000 per annum Job title: Head of Finance Location: North Warwickshire Salary: £80,000-£90,000 per annum Hours: Full time Role details A fast-growing organisation in North Warwickshire is seeking a Head of Finance to join their team. This is a key leadership role responsible for overseeing all aspects of financial management, including budgeting, forecasting, reporting, and compliance, ensuring the organisation's long-term stability and growth. As Head of Finance, you will develop and deliver robust financial strategies aligned to organisational objectives, while partnering closely with senior stakeholders to provide clear insight, analysis, and recommendations that support effective decision-making. You will lead and mentor the finance team, fostering a collaborative and inclusive environment that encourages professional development and knowledge sharing. Responsibilities of the Head of Finance Oversee all aspects of financial management including budgeting, forecasting, reporting, and compliance to ensure the organisation's long-term stability and growth. Develop and implement robust financial strategies that align with organisational objectives while fostering a culture of collaboration across departments. Provide insightful analysis and recommendations to senior stakeholders, supporting informed decision-making through clear communication and dependable advice. Lead, mentor, and nurture the finance team by promoting knowledge sharing, professional development, and an inclusive working environment. Ensure accurate preparation of monthly, quarterly, and annual accounts in accordance with relevant accounting standards and regulatory requirements. Manage relationships with external auditors, banks, and other partners to maintain trust and transparency throughout all financial processes. Monitor cash flow, investments, and risk management activities to safeguard the organisation's assets while supporting sustainable growth initiatives. Drive continuous improvement in financial systems, processes, and controls by encouraging feedback from colleagues at all levels. Support the wider business with ad hoc projects such as system upgrades or process reviews by providing expert guidance rooted in empathy and understanding. What the successful candidate will bring Fully qualified accountant. Experience within an SME in senior finance roles where you have demonstrated responsibility for end-to-end financial management. Excellent interpersonal skills that enable you to communicate complex information clearly while showing empathy for colleagues' perspectives. High level of integrity combined with attention to detail when preparing reports or managing sensitive information. Ability to manage multiple priorities calmly under pressure while maintaining accuracy and dependability throughout busy periods. What sets this company apart This organisation offers a rare blend of stability and innovation, combining over two decades of technical expertise with the backing of a global software group. Professional growth is central, with emerging technologies, evolving processes and cross-functional collaboration across engineering, operations and commercial teams, there are abundant opportunities to deepen financial, technical and leadership capabilities. At the Robert Walters Group, we endeavour to contact all candidates to register their details. However, due to the high number of applications we receive, if we have not reached out to you within 72 hours, please assume that you have been unsuccessful on this occasion. Robert Walters Operations Limited is an employment business and employment agency and welcomes applications from all candidates
LHH Recruitment Solutions
Financial Controller
LHH Recruitment Solutions
LHH Recruitment Solutions are currently partnering with a rapidly expanding London based organisation operating across the UK and Europe to recruit a Financial Controller. This key appointment is critical in strengthening the company's financial operations during an exciting period of growth. As a newly created position, the role sits at the heart of the finance function, supporting senior leadership with forecasting, analysis, and strategic insight. Reporting to the Finance Director, you will work closely with both the finance team and operational leaders to deliver high-quality financial reporting and drive performance across the group. Key Responsibilities Lead and manage the group forecasting process for internal and external stakeholders. Oversee and enhance the daily cashflow forecasting cycle. Partner with Operations to develop and monitor KPIs that track business performance. Support month-end, analysing results against forecast and providing actionable insight. Produce monthly reporting packs, analysis, and Board-level presentations. Deliver ad-hoc financial modelling, reporting and business analysis. Lead finance-related projects focused on efficiency and performance improvements. Manage and mentor the finance team. Use and optimise Sage Intacct financial systems within day-to-day finance operations. Manage confidential invoice financing arrangements and perform robust cash modelling. Skills & Experience Required Ideally a Qualified Accountant (ACA / ACCA / CIMA) - qualification by experience also considered. Essential : Strong experience with confidential invoice financing and advanced cash modelling. Highly desirable: Hands-on experience with Sage Intacct. Strong analytical ability with a talent for identifying trends and irregularities. Comfortable building detailed financial models for forecasting and analysis. Excellent communication skills and confidence liaising across all levels of the business. Proven leadership and mentoring capability. Curious, process-focused, and willing to challenge the status quo. Experience within a fast-paced or rapidly growing commercial environment. The role offers excellent hybrid working with travel to London required 1 day a week. Salary is up to £65k
Mar 08, 2026
Full time
LHH Recruitment Solutions are currently partnering with a rapidly expanding London based organisation operating across the UK and Europe to recruit a Financial Controller. This key appointment is critical in strengthening the company's financial operations during an exciting period of growth. As a newly created position, the role sits at the heart of the finance function, supporting senior leadership with forecasting, analysis, and strategic insight. Reporting to the Finance Director, you will work closely with both the finance team and operational leaders to deliver high-quality financial reporting and drive performance across the group. Key Responsibilities Lead and manage the group forecasting process for internal and external stakeholders. Oversee and enhance the daily cashflow forecasting cycle. Partner with Operations to develop and monitor KPIs that track business performance. Support month-end, analysing results against forecast and providing actionable insight. Produce monthly reporting packs, analysis, and Board-level presentations. Deliver ad-hoc financial modelling, reporting and business analysis. Lead finance-related projects focused on efficiency and performance improvements. Manage and mentor the finance team. Use and optimise Sage Intacct financial systems within day-to-day finance operations. Manage confidential invoice financing arrangements and perform robust cash modelling. Skills & Experience Required Ideally a Qualified Accountant (ACA / ACCA / CIMA) - qualification by experience also considered. Essential : Strong experience with confidential invoice financing and advanced cash modelling. Highly desirable: Hands-on experience with Sage Intacct. Strong analytical ability with a talent for identifying trends and irregularities. Comfortable building detailed financial models for forecasting and analysis. Excellent communication skills and confidence liaising across all levels of the business. Proven leadership and mentoring capability. Curious, process-focused, and willing to challenge the status quo. Experience within a fast-paced or rapidly growing commercial environment. The role offers excellent hybrid working with travel to London required 1 day a week. Salary is up to £65k
Hays Specialist Recruitment Limited
Group Management Accountant Property
Hays Specialist Recruitment Limited
Your new company A UK-based property investor and developer with assets in the UK, EMEA & US, the company are privately owned and are currently in growth phase, especially with regards to their international portfolio. Your new role This role sits in the London HQ and is part of a team of 20, reporting to the Financial Controller. The successful application will take ownership of a portfolio of assets, owning reporting and commercial outputs.Duties: Preparation of monthly management accounts pack with commentary Varian analysis Budgets versus actuals Supervision of outsourced provider and review of accounts Liaison and partnering with divisional asset heads Support on the statutory process What you'll need to succeed You will need to be a qualified accountant with a background in the Property sector. The successful applicant will have had exposure to management reporting as well as working with non finance stakeholders. What you'll get in return You will get to take ownership of a portfolio during a period of change and growth, giving the successful applicant real opportunity to be part of strategic processes as well as chance to deputise for the FC on all portfolio matters. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at hays.co.uk
Mar 08, 2026
Full time
Your new company A UK-based property investor and developer with assets in the UK, EMEA & US, the company are privately owned and are currently in growth phase, especially with regards to their international portfolio. Your new role This role sits in the London HQ and is part of a team of 20, reporting to the Financial Controller. The successful application will take ownership of a portfolio of assets, owning reporting and commercial outputs.Duties: Preparation of monthly management accounts pack with commentary Varian analysis Budgets versus actuals Supervision of outsourced provider and review of accounts Liaison and partnering with divisional asset heads Support on the statutory process What you'll need to succeed You will need to be a qualified accountant with a background in the Property sector. The successful applicant will have had exposure to management reporting as well as working with non finance stakeholders. What you'll get in return You will get to take ownership of a portfolio during a period of change and growth, giving the successful applicant real opportunity to be part of strategic processes as well as chance to deputise for the FC on all portfolio matters. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at hays.co.uk
Get Recruited (UK) Ltd
Financial Controller - Import / Export
Get Recruited (UK) Ltd City, Manchester
FINANCE MANAGER / FINANCIAL CONTROLLER (No.1) MANCHESTER CITY CENTRE 65,000 TO 75,000 + BENEFITS THE COMPANY: We're exclusively partnering with a growing SME import / export business based in Manchester City Centre that is looking to recruit an experienced Finance Manager / Financial Controller to lead the finance function and work closely with the founders. Operating within an international trading environment with a bonded warehouse, the business imports and distributes products mainly across the UK and conditionally exports the imports internationally. This role will take full ownership of the finance function, providing both hands-on financial leadership and commercial insight to support continued growth. This is an excellent opportunity for a hands-on Financial Controller who enjoys improving systems, introducing automation where appropriate, and helping a growing business drive efficiencies and smarter financial decision-making. THE FINANCIAL CONTROLLER / FINANCE MANAGER ROLE: Reporting directly to the Founders, taking ownership of the finance function and leading a small team Managing and developing a team including AP, AR / Credit Control, Finance Coordinator and Import / Export Clerks Producing monthly management accounts, including variance analysis and commentary Leading budgeting, forecasting and cashflow management Overseeing credit control and debtor management, personally handling escalated debtor issues Managing banking relationships and lenders, including invoice discounting / asset-based finance facilities Ensuring accurate import duty accruals, deferments and landed cost reporting Monitoring freight forwarding costs, stock movements and working capital with operational teams Managing HMRC compliance, including bonded warehouse oversight and annual audits Reviewing systems, processes and reporting, driving efficiencies, automation and continuous improvement Providing commercial insight to the founders to support better decision making and business performance THE PERSON: CIMA / ACCA Qualified, or Qualified by Experience (QBE), with proven experience as a Financial Controller, Finance Manager or Senior Management Accountant in an SME environment, with an understanding of import/Export. Industry experience Distribution, Logistics, Manufacturing, Retail or Wholesale would be advantageous, with stock / inventory accounting and operational finance Strong experience producing Management Accounts, Budgeting, Forecasting and Cashflow Management Exposure to invoice discounting or asset-based lending facilities Strong oversight of credit control and debtor management, including handling escalations Experience reviewing systems, reporting and processes to drive improvements and efficiencies A commercial and proactive mindset with the ability to support business growth TO APPLY: Please send your CV via the advert for the Finance Manager / Financial Controller for immediate consideration. By sending an application or applying for a job, you consent to your personal data being processed and stored by Get Recruited (UK) Ltd in accordance with our Cookie & Privacy Policy (available in the footer on our website). Get Recruited (UK) Ltd acts as an employment agency for permanent recruitment and as an employment business for the supply of temporary workers. We are an equal opportunities employer and we never charge candidates a fee for our services.
Mar 08, 2026
Full time
FINANCE MANAGER / FINANCIAL CONTROLLER (No.1) MANCHESTER CITY CENTRE 65,000 TO 75,000 + BENEFITS THE COMPANY: We're exclusively partnering with a growing SME import / export business based in Manchester City Centre that is looking to recruit an experienced Finance Manager / Financial Controller to lead the finance function and work closely with the founders. Operating within an international trading environment with a bonded warehouse, the business imports and distributes products mainly across the UK and conditionally exports the imports internationally. This role will take full ownership of the finance function, providing both hands-on financial leadership and commercial insight to support continued growth. This is an excellent opportunity for a hands-on Financial Controller who enjoys improving systems, introducing automation where appropriate, and helping a growing business drive efficiencies and smarter financial decision-making. THE FINANCIAL CONTROLLER / FINANCE MANAGER ROLE: Reporting directly to the Founders, taking ownership of the finance function and leading a small team Managing and developing a team including AP, AR / Credit Control, Finance Coordinator and Import / Export Clerks Producing monthly management accounts, including variance analysis and commentary Leading budgeting, forecasting and cashflow management Overseeing credit control and debtor management, personally handling escalated debtor issues Managing banking relationships and lenders, including invoice discounting / asset-based finance facilities Ensuring accurate import duty accruals, deferments and landed cost reporting Monitoring freight forwarding costs, stock movements and working capital with operational teams Managing HMRC compliance, including bonded warehouse oversight and annual audits Reviewing systems, processes and reporting, driving efficiencies, automation and continuous improvement Providing commercial insight to the founders to support better decision making and business performance THE PERSON: CIMA / ACCA Qualified, or Qualified by Experience (QBE), with proven experience as a Financial Controller, Finance Manager or Senior Management Accountant in an SME environment, with an understanding of import/Export. Industry experience Distribution, Logistics, Manufacturing, Retail or Wholesale would be advantageous, with stock / inventory accounting and operational finance Strong experience producing Management Accounts, Budgeting, Forecasting and Cashflow Management Exposure to invoice discounting or asset-based lending facilities Strong oversight of credit control and debtor management, including handling escalations Experience reviewing systems, reporting and processes to drive improvements and efficiencies A commercial and proactive mindset with the ability to support business growth TO APPLY: Please send your CV via the advert for the Finance Manager / Financial Controller for immediate consideration. By sending an application or applying for a job, you consent to your personal data being processed and stored by Get Recruited (UK) Ltd in accordance with our Cookie & Privacy Policy (available in the footer on our website). Get Recruited (UK) Ltd acts as an employment agency for permanent recruitment and as an employment business for the supply of temporary workers. We are an equal opportunities employer and we never charge candidates a fee for our services.
Get Recruited (UK) Ltd
Financial Controller - Import / Export
Get Recruited (UK) Ltd Manchester, Lancashire
FINANCE MANAGER / FINANCIAL CONTROLLER (No.1) MANCHESTER CITY CENTRE £65,000 TO £75,000 + BENEFITS THE COMPANY: We're exclusively partnering with a growing SME import / export business based in Manchester City Centre that is looking to recruit an experienced Finance Manager / Financial Controller to lead the finance function and work closely with the founders. Operating within an international trading environment with a bonded warehouse, the business imports and distributes products mainly across the UK and conditionally exports the imports internationally. This role will take full ownership of the finance function, providing both hands-on financial leadership and commercial insight to support continued growth. This is an excellent opportunity for a hands-on Financial Controller who enjoys improving systems, introducing automation where appropriate, and helping a growing business drive efficiencies and smarter financial decision-making. THE FINANCIAL CONTROLLER / FINANCE MANAGER ROLE: Reporting directly to the Founders, taking ownership of the finance function and leading a small team Managing and developing a team including AP, AR / Credit Control, Finance Coordinator and Import / Export Clerks Producing monthly management accounts, including variance analysis and commentary Leading budgeting, forecasting and cashflow management Overseeing credit control and debtor management, personally handling escalated debtor issues Managing banking relationships and lenders, including invoice discounting / asset-based finance facilities Ensuring accurate import duty accruals, deferments and landed cost reporting Monitoring freight forwarding costs, stock movements and working capital with operational teams Managing HMRC compliance, including bonded warehouse oversight and annual audits Reviewing systems, processes and reporting, driving efficiencies, automation and continuous improvement Providing commercial insight to the founders to support better decision making and business performance THE PERSON: CIMA / ACCA Qualified, or Qualified by Experience (QBE), with proven experience as a Financial Controller, Finance Manager or Senior Management Accountant in an SME environment, with an understanding of import/Export. Industry experience Distribution, Logistics, Manufacturing, Retail or Wholesale would be advantageous, with stock / inventory accounting and operational finance Strong experience producing Management Accounts, Budgeting, Forecasting and Cashflow Management Exposure to invoice discounting or asset-based lending facilities Strong oversight of credit control and debtor management, including handling escalations Experience reviewing systems, reporting and processes to drive improvements and efficiencies A commercial and proactive mindset with the ability to support business growth TO APPLY: Please send your CV via the advert for the Finance Manager / Financial Controller for immediate consideration. By sending an application or applying for a job, you consent to your personal data being processed and stored by Get Recruited (UK) Ltd in accordance with our Cookie & Privacy Policy (available in the footer on our website). Get Recruited (UK) Ltd acts as an employment agency for permanent recruitment and as an employment business for the supply of temporary workers. We are an equal opportunities employer and we never charge candidates a fee for our services.
Mar 07, 2026
Full time
FINANCE MANAGER / FINANCIAL CONTROLLER (No.1) MANCHESTER CITY CENTRE £65,000 TO £75,000 + BENEFITS THE COMPANY: We're exclusively partnering with a growing SME import / export business based in Manchester City Centre that is looking to recruit an experienced Finance Manager / Financial Controller to lead the finance function and work closely with the founders. Operating within an international trading environment with a bonded warehouse, the business imports and distributes products mainly across the UK and conditionally exports the imports internationally. This role will take full ownership of the finance function, providing both hands-on financial leadership and commercial insight to support continued growth. This is an excellent opportunity for a hands-on Financial Controller who enjoys improving systems, introducing automation where appropriate, and helping a growing business drive efficiencies and smarter financial decision-making. THE FINANCIAL CONTROLLER / FINANCE MANAGER ROLE: Reporting directly to the Founders, taking ownership of the finance function and leading a small team Managing and developing a team including AP, AR / Credit Control, Finance Coordinator and Import / Export Clerks Producing monthly management accounts, including variance analysis and commentary Leading budgeting, forecasting and cashflow management Overseeing credit control and debtor management, personally handling escalated debtor issues Managing banking relationships and lenders, including invoice discounting / asset-based finance facilities Ensuring accurate import duty accruals, deferments and landed cost reporting Monitoring freight forwarding costs, stock movements and working capital with operational teams Managing HMRC compliance, including bonded warehouse oversight and annual audits Reviewing systems, processes and reporting, driving efficiencies, automation and continuous improvement Providing commercial insight to the founders to support better decision making and business performance THE PERSON: CIMA / ACCA Qualified, or Qualified by Experience (QBE), with proven experience as a Financial Controller, Finance Manager or Senior Management Accountant in an SME environment, with an understanding of import/Export. Industry experience Distribution, Logistics, Manufacturing, Retail or Wholesale would be advantageous, with stock / inventory accounting and operational finance Strong experience producing Management Accounts, Budgeting, Forecasting and Cashflow Management Exposure to invoice discounting or asset-based lending facilities Strong oversight of credit control and debtor management, including handling escalations Experience reviewing systems, reporting and processes to drive improvements and efficiencies A commercial and proactive mindset with the ability to support business growth TO APPLY: Please send your CV via the advert for the Finance Manager / Financial Controller for immediate consideration. By sending an application or applying for a job, you consent to your personal data being processed and stored by Get Recruited (UK) Ltd in accordance with our Cookie & Privacy Policy (available in the footer on our website). Get Recruited (UK) Ltd acts as an employment agency for permanent recruitment and as an employment business for the supply of temporary workers. We are an equal opportunities employer and we never charge candidates a fee for our services.
Broster Buchanan
Financial Controller
Broster Buchanan Peterborough, Cambridgeshire
We are seeking a strategic, technology and data driven Commercial Financial Controller for an ambitious organisation based in Peterborough to lead a small finance team, improve commercial and operational information to enable scalable growth. Reporting directly to the FD but also supporting the CFO, you will play a pivotal role in modernising processes, strengthening financial transparency, and building the operational foundation for our next stage of expansion. This is a high-impact position offering the opportunity to shape how finance operates and contributes to the organisation's strategic direction. Key Tasks & Responsibilities Strategic Insight Work closely with the business to provide clarity, challenge, and actionable insight. Build trusted relationships with the wider finance team and operational teams, presenting and communicating financial information in a clear, relevant, and decision-focused manner. Drive strategic planning, budgeting, and forecasting cycles, ensuring alignment and robust baseline assumptions. Develop dashboards, KPIs, and ad-hoc analysis that deliver meaningful insight and support informed decision-making. Financial Control & Reporting Own delivery of month-end close activities, ensuring accuracy, timeliness, and consistency. Produce high-quality management accounts with insightful commentary and supporting analysis. Support preparation of statutory accounts, in accordance with UK GAAP, and manage external audit processes. Ensure compliance with accounting policies, internal controls, and governance standards. Review/critique prepared VAT returns and support corporation tax processes. Maintain cash flow forecasts and support treasury activities. Craft contractual terms to support commercial agreements negotiated by business principals. Finance Processes, Automation & Systems Ensure reporting and deliverables are grounded in robust, scalable processes. Lead improvements to the finance technology landscape, introducing automation and optimising existing tools. Manage financial systems, integrations, and data flows to strengthen control and reduce manual effort. Embed a culture of continuous improvement across reporting, internal controls, and workflow management. Leadership & Team Development Contribute to building a high-performing, cohesive finance team with shared standards and clear expectations. Foster collaboration, professional development, and a culture of innovation within the team. Key Core Competencies & Skills Required Fully qualified accountant (ACA, CIMA, ACCA). Strong technical accounting knowledge with exceptional attention to detail. Proven ability to lead process improvements and implement financial systems or automation tools. Excellent communication skills-clear, timely, and transparent. Strong analytical and problem-solving capabilities; solution-driven mindset. Experience in driving cross-functional collaboration. Comfortable operating in a dynamic, growing business with evolving priorities. High standards of accuracy, timeliness, and professional rigour. Flexible, pragmatic, and proactive in seeking better ways of working.
Mar 07, 2026
Full time
We are seeking a strategic, technology and data driven Commercial Financial Controller for an ambitious organisation based in Peterborough to lead a small finance team, improve commercial and operational information to enable scalable growth. Reporting directly to the FD but also supporting the CFO, you will play a pivotal role in modernising processes, strengthening financial transparency, and building the operational foundation for our next stage of expansion. This is a high-impact position offering the opportunity to shape how finance operates and contributes to the organisation's strategic direction. Key Tasks & Responsibilities Strategic Insight Work closely with the business to provide clarity, challenge, and actionable insight. Build trusted relationships with the wider finance team and operational teams, presenting and communicating financial information in a clear, relevant, and decision-focused manner. Drive strategic planning, budgeting, and forecasting cycles, ensuring alignment and robust baseline assumptions. Develop dashboards, KPIs, and ad-hoc analysis that deliver meaningful insight and support informed decision-making. Financial Control & Reporting Own delivery of month-end close activities, ensuring accuracy, timeliness, and consistency. Produce high-quality management accounts with insightful commentary and supporting analysis. Support preparation of statutory accounts, in accordance with UK GAAP, and manage external audit processes. Ensure compliance with accounting policies, internal controls, and governance standards. Review/critique prepared VAT returns and support corporation tax processes. Maintain cash flow forecasts and support treasury activities. Craft contractual terms to support commercial agreements negotiated by business principals. Finance Processes, Automation & Systems Ensure reporting and deliverables are grounded in robust, scalable processes. Lead improvements to the finance technology landscape, introducing automation and optimising existing tools. Manage financial systems, integrations, and data flows to strengthen control and reduce manual effort. Embed a culture of continuous improvement across reporting, internal controls, and workflow management. Leadership & Team Development Contribute to building a high-performing, cohesive finance team with shared standards and clear expectations. Foster collaboration, professional development, and a culture of innovation within the team. Key Core Competencies & Skills Required Fully qualified accountant (ACA, CIMA, ACCA). Strong technical accounting knowledge with exceptional attention to detail. Proven ability to lead process improvements and implement financial systems or automation tools. Excellent communication skills-clear, timely, and transparent. Strong analytical and problem-solving capabilities; solution-driven mindset. Experience in driving cross-functional collaboration. Comfortable operating in a dynamic, growing business with evolving priorities. High standards of accuracy, timeliness, and professional rigour. Flexible, pragmatic, and proactive in seeking better ways of working.

Modal Window

  • Home
  • Contact
  • About Us
  • Terms & Conditions
  • Privacy
  • Employer
  • Post a Job
  • Search Resumes
  • Sign in
  • Job Seeker
  • Find Jobs
  • Create Resume
  • Sign in
  • Facebook
  • Twitter
  • Google Plus
  • LinkedIn
Parent and Partner sites: IT Job Board | Jobs Near Me | RightTalent.co.uk | Quantity Surveyor jobs | Building Surveyor jobs | Construction Recruitment | Talent Recruiter | Construction Job Board | Property jobs | myJobsnearme.com | Jobs near me
© 2008-2026 Jobsite Jobs | Designed by Web Design Agency