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Mitchell Adam
Financial Controller
Mitchell Adam Solihull, West Midlands
A well-established and growing manufacturing business in Solihull is seeking a commercially minded, hands-on Financial Controller to lead finance at site level. This is a pivotal leadership role within the business - combining operational involvement on the factory floor with strategic input at senior level. You'll act as the financial lead for the site, partnering closely with operations, supply chain and senior leadership to drive performance, improve margins and strengthen controls. The Opportunity This is not a purely reporting role. You'll be embedded in the operation - understanding production, costing, labour efficiencies and inventory - while also leading the finance function and contributing to wider strategic decisions. You will have full ownership of site finance, with autonomy to improve processes and influence commercial outcomes. Key Responsibilities Lead all site financial reporting, forecasting and budgeting activities Own standard costing, product costing, variance analysis and margin improvement initiatives Partner with Operations to drive efficiencies across labour, materials and overheads Provide weekly and monthly performance insight to senior leadership Manage and develop the on-site finance team Strengthen financial controls across inventory, capex, working capital and compliance Support business cases, investment decisions and continuous improvement initiatives Act as key finance contact for external auditors and group reporting About You Qualified accountant (ACA / ACCA / CIMA) Strong manufacturing experience (essential) Proven background in costing, inventory and operational finance Experience managing and developing a team Hands-on and comfortable operating in a fast-paced production environment Commercially aware with the confidence to challenge and influence Systems literate (ERP experience highly desirable) Why Apply? True ownership of a site finance function Direct exposure to senior leadership Opportunity to influence operational performance and strategy Stable but evolving manufacturing environment Clear scope to add value and shape the role This role would suit an ambitious Finance Manager ready to step up, or an established Financial Controller who enjoys being close to operations rather than sitting in a purely corporate reporting environment.
Mar 12, 2026
Full time
A well-established and growing manufacturing business in Solihull is seeking a commercially minded, hands-on Financial Controller to lead finance at site level. This is a pivotal leadership role within the business - combining operational involvement on the factory floor with strategic input at senior level. You'll act as the financial lead for the site, partnering closely with operations, supply chain and senior leadership to drive performance, improve margins and strengthen controls. The Opportunity This is not a purely reporting role. You'll be embedded in the operation - understanding production, costing, labour efficiencies and inventory - while also leading the finance function and contributing to wider strategic decisions. You will have full ownership of site finance, with autonomy to improve processes and influence commercial outcomes. Key Responsibilities Lead all site financial reporting, forecasting and budgeting activities Own standard costing, product costing, variance analysis and margin improvement initiatives Partner with Operations to drive efficiencies across labour, materials and overheads Provide weekly and monthly performance insight to senior leadership Manage and develop the on-site finance team Strengthen financial controls across inventory, capex, working capital and compliance Support business cases, investment decisions and continuous improvement initiatives Act as key finance contact for external auditors and group reporting About You Qualified accountant (ACA / ACCA / CIMA) Strong manufacturing experience (essential) Proven background in costing, inventory and operational finance Experience managing and developing a team Hands-on and comfortable operating in a fast-paced production environment Commercially aware with the confidence to challenge and influence Systems literate (ERP experience highly desirable) Why Apply? True ownership of a site finance function Direct exposure to senior leadership Opportunity to influence operational performance and strategy Stable but evolving manufacturing environment Clear scope to add value and shape the role This role would suit an ambitious Finance Manager ready to step up, or an established Financial Controller who enjoys being close to operations rather than sitting in a purely corporate reporting environment.
Nomad Foods
Finance Business Partner
Nomad Foods Woking, Surrey
Nomad foods is home to iconic brands such as Birds eye, Aunt Bessies & Goodfella Pizzas. As Europe's leading frozen food company we are proud of our passion, innovation and commitment to excellence. About the role: We are excited to be hiring a Finance Business Partner to join our dynamic team in our Woking head office, working within the Group Finance team, this is a dynamic role working cross functionally to drive delivery of indirects targets as a business partner for several corporate functions driving a cost consciousness mindset in a team with a budget of 100m+. Providing support and cost control to deliver accurate reporting and variance analysis of actuals, planning and forecasting. Identifying and communicating risks and opportunities on a timely basis while driving recommendations and action plans to control spend. You will Lead the consolidation of forecast submissions from each Market across the Group and provide challenge where necessary to understand variances to able to provide insightful commentary to senior management. Responsibilities: Act as Finance Business Partner to Senior Management and budget holders of multiple business areas (e.g. CFO, COO and Compliance). Support them with costs visibility, costs analytics Work closely with the relevant leadership teams and wider Finance team to develop Indirects plan and establish Tracking & Monitoring cycle. This will include business partnering, constructive challenge and decision support. Partner with business as required to provide financial governance, reporting, control and stakeholder support. Deliver accurate planning and reporting in line with agreed timetables as part of a clearly communicated, well-planned and well-executed process (Monthly Actuals, Forecasts, Strategic Plan, Annual Plan) Providing support, information, insights to budget owners. Assist them in managing their costs vs targets. Challenge when required. Lead on monthly forecast cycle and identification of emerging risks and opportunities. Drive innovation, improvement, standardisation and automation of reporting & processes across Head Office and Group. Ensure SOX compliance and governance on all key processes. Qualifications: At least 5 years of post-graduation experience A qualified accountant Able to work under fast paced time pressure and able to manage multiple priorities Excellent planning and organisational skills Strong Excel and PowerPoint skills and a wider interest in systems Knowledge of commercial, financial and operational reporting What we can offer you: We're on an exceptional adventure and can offer a truly purpose led career with flexibility. In addition, you will benefit from the below: An ambitious employer with recognized brands and growth potential The potential to progress your career across different areas of Birds Eye and Nomad Foods A culture where your part of a team, where you feel encouraged to make a difference To view the full job profile and to apply, please click on the apply button above which will divert you to our careers site. We look forward to receiving your application.
Mar 12, 2026
Full time
Nomad foods is home to iconic brands such as Birds eye, Aunt Bessies & Goodfella Pizzas. As Europe's leading frozen food company we are proud of our passion, innovation and commitment to excellence. About the role: We are excited to be hiring a Finance Business Partner to join our dynamic team in our Woking head office, working within the Group Finance team, this is a dynamic role working cross functionally to drive delivery of indirects targets as a business partner for several corporate functions driving a cost consciousness mindset in a team with a budget of 100m+. Providing support and cost control to deliver accurate reporting and variance analysis of actuals, planning and forecasting. Identifying and communicating risks and opportunities on a timely basis while driving recommendations and action plans to control spend. You will Lead the consolidation of forecast submissions from each Market across the Group and provide challenge where necessary to understand variances to able to provide insightful commentary to senior management. Responsibilities: Act as Finance Business Partner to Senior Management and budget holders of multiple business areas (e.g. CFO, COO and Compliance). Support them with costs visibility, costs analytics Work closely with the relevant leadership teams and wider Finance team to develop Indirects plan and establish Tracking & Monitoring cycle. This will include business partnering, constructive challenge and decision support. Partner with business as required to provide financial governance, reporting, control and stakeholder support. Deliver accurate planning and reporting in line with agreed timetables as part of a clearly communicated, well-planned and well-executed process (Monthly Actuals, Forecasts, Strategic Plan, Annual Plan) Providing support, information, insights to budget owners. Assist them in managing their costs vs targets. Challenge when required. Lead on monthly forecast cycle and identification of emerging risks and opportunities. Drive innovation, improvement, standardisation and automation of reporting & processes across Head Office and Group. Ensure SOX compliance and governance on all key processes. Qualifications: At least 5 years of post-graduation experience A qualified accountant Able to work under fast paced time pressure and able to manage multiple priorities Excellent planning and organisational skills Strong Excel and PowerPoint skills and a wider interest in systems Knowledge of commercial, financial and operational reporting What we can offer you: We're on an exceptional adventure and can offer a truly purpose led career with flexibility. In addition, you will benefit from the below: An ambitious employer with recognized brands and growth potential The potential to progress your career across different areas of Birds Eye and Nomad Foods A culture where your part of a team, where you feel encouraged to make a difference To view the full job profile and to apply, please click on the apply button above which will divert you to our careers site. We look forward to receiving your application.
Reed
Financial Controller
Reed Hull, Yorkshire
Financial Controller Reed Finance are delighted to be partnering with a rapidly expanding organisation in the Humberside area as they look to appoint a newly created Financial Controller . This role has been introduced following a period of strong organic growth and offers an excellent opportunity to make real impact within a developing finance team. Key Responsibilities As the Financial Controller, you will play a central role in supporting the Finance Director and wider business. Your duties will include: Preparation and production of monthly Management Accounts Business partnering with non-finance stakeholders to support commercial decision-making Balance sheet reconciliations and review Supporting budgeting and forecasting processes Cost accounting and analysis Preparation for audit Weekly financial reporting Line management of a small team of Assistant Accountants About You The ideal candidate will bring: Proven experience in a Senior Finance role - qualified, part-qualified, or QBE Strong business partnering skills, with the ability to engage senior managers and non-finance colleagues Experience in cost accounting Excellent communication skills and a collaborative approach A passion for developing others and getting the best out of your team What's on Offer This is a fantastic opportunity for an ambitious finance professional looking to grow within a dynamic, forward-thinking organisation. You will benefit from: A competitive salary and benefits package Annual bonus Enhanced holiday entitlement Ongoing professional development and training Clear opportunities for long-term career progression If this sounds like the ideal next step in your career, please apply immediately .
Mar 12, 2026
Full time
Financial Controller Reed Finance are delighted to be partnering with a rapidly expanding organisation in the Humberside area as they look to appoint a newly created Financial Controller . This role has been introduced following a period of strong organic growth and offers an excellent opportunity to make real impact within a developing finance team. Key Responsibilities As the Financial Controller, you will play a central role in supporting the Finance Director and wider business. Your duties will include: Preparation and production of monthly Management Accounts Business partnering with non-finance stakeholders to support commercial decision-making Balance sheet reconciliations and review Supporting budgeting and forecasting processes Cost accounting and analysis Preparation for audit Weekly financial reporting Line management of a small team of Assistant Accountants About You The ideal candidate will bring: Proven experience in a Senior Finance role - qualified, part-qualified, or QBE Strong business partnering skills, with the ability to engage senior managers and non-finance colleagues Experience in cost accounting Excellent communication skills and a collaborative approach A passion for developing others and getting the best out of your team What's on Offer This is a fantastic opportunity for an ambitious finance professional looking to grow within a dynamic, forward-thinking organisation. You will benefit from: A competitive salary and benefits package Annual bonus Enhanced holiday entitlement Ongoing professional development and training Clear opportunities for long-term career progression If this sounds like the ideal next step in your career, please apply immediately .
Harper May Ltd
FP&A Manager
Harper May Ltd
Harper May is partnering with a fast-growing and innovative Media & Events company that has recently completed a major acquisition, reinforcing its position as one of the UK's most dynamic players in the sector. With ambitious plans to expand into new markets over the next five years, the business is now seeking an experienced FP&A Manager to help shape financial strategy and support ongoing commercial success. Role Overview: The FP&A Manager will work closely with senior leadership to deliver robust financial planning, accurate forecasting, and insightful analysis. This role will play a central part in driving efficiency, profitability, and long-term business growth during a pivotal stage in the company's development. Key Responsibilities: Support the development of medium and long-term financial plans in collaboration with senior leadership Lead budgeting processes and ensure alignment across departments Provide insightful analysis on market trends, competitor activity, and performance drivers Deliver monthly forecasting and financial reporting across revenue, cost, and margin metrics Manage and develop a team of four, including finance and purchasing functions Conduct margin analysis to support commercial and operational decision-making Support finance systems reporting; experience with SAP, F&B Shop, or Opera is desirable Key Requirements: Qualified accountant (ACA / ACCA / CIMA) Proven experience in an FP&A leadership role, ideally within media, events, or a fast-paced commercial environment Advanced Excel and financial modelling skills Strong analytical and commercial acumen Excellent communication and stakeholder engagement skills Well-organised with a hands-on and proactive approach
Mar 12, 2026
Full time
Harper May is partnering with a fast-growing and innovative Media & Events company that has recently completed a major acquisition, reinforcing its position as one of the UK's most dynamic players in the sector. With ambitious plans to expand into new markets over the next five years, the business is now seeking an experienced FP&A Manager to help shape financial strategy and support ongoing commercial success. Role Overview: The FP&A Manager will work closely with senior leadership to deliver robust financial planning, accurate forecasting, and insightful analysis. This role will play a central part in driving efficiency, profitability, and long-term business growth during a pivotal stage in the company's development. Key Responsibilities: Support the development of medium and long-term financial plans in collaboration with senior leadership Lead budgeting processes and ensure alignment across departments Provide insightful analysis on market trends, competitor activity, and performance drivers Deliver monthly forecasting and financial reporting across revenue, cost, and margin metrics Manage and develop a team of four, including finance and purchasing functions Conduct margin analysis to support commercial and operational decision-making Support finance systems reporting; experience with SAP, F&B Shop, or Opera is desirable Key Requirements: Qualified accountant (ACA / ACCA / CIMA) Proven experience in an FP&A leadership role, ideally within media, events, or a fast-paced commercial environment Advanced Excel and financial modelling skills Strong analytical and commercial acumen Excellent communication and stakeholder engagement skills Well-organised with a hands-on and proactive approach
HW Finance
Finance Business Partner
HW Finance Wellington, Somerset
Finance Business Partner Location: Wellington, Somerset Reporting to: Head of Finance The Opportunity A growing UK environmental and infrastructure services business is seeking a commercially focused Finance Business Partner to join their team. This role will work closely with operational leadership teams to drive financial performance, improve profitability and support strategic decision making within a fast paced, multi-site environment. Key Responsibilities Act as a trusted finance partner to operational teams Lead revenue recognition and WIP management at month-end Deliver monthly performance reporting, analysis and variance commentary Provide data-led insight on operational KPIs (e.g. utilisation, maintenance, overtime) Own regular forecasting processes and support annual budgeting Drive working capital improvements and support cash management Ensure strong financial controls and compliance with reporting deadlines About You Qualified accountant (CIMA, ACCA or ACA) Proven experience in a business partnering or commercial finance role OR a Management Accountant looking to step into a commercial finance role Strong analytical skills with advanced Excel capability Confident influencing and stakeholder management skills Proactive, adaptable and comfortable in a growth-focused environment Full UK driving licence Hybrid working is supported, with some travel required between operational sites.
Mar 12, 2026
Full time
Finance Business Partner Location: Wellington, Somerset Reporting to: Head of Finance The Opportunity A growing UK environmental and infrastructure services business is seeking a commercially focused Finance Business Partner to join their team. This role will work closely with operational leadership teams to drive financial performance, improve profitability and support strategic decision making within a fast paced, multi-site environment. Key Responsibilities Act as a trusted finance partner to operational teams Lead revenue recognition and WIP management at month-end Deliver monthly performance reporting, analysis and variance commentary Provide data-led insight on operational KPIs (e.g. utilisation, maintenance, overtime) Own regular forecasting processes and support annual budgeting Drive working capital improvements and support cash management Ensure strong financial controls and compliance with reporting deadlines About You Qualified accountant (CIMA, ACCA or ACA) Proven experience in a business partnering or commercial finance role OR a Management Accountant looking to step into a commercial finance role Strong analytical skills with advanced Excel capability Confident influencing and stakeholder management skills Proactive, adaptable and comfortable in a growth-focused environment Full UK driving licence Hybrid working is supported, with some travel required between operational sites.
Financial Controller Part-Time
Talent Finance Ltd Bognor Regis, Sussex
Financial Controller Part-Time Bognor Regis Flexible Hours £65,000 Pro Rata Talent Finance is partnering with a fast-growing SME to appoint an experienced Financial Controller into a broad, commercially focused leadership role. Reporting directly to the CEO, with CFO oversight and support, this is a highly visible position offering genuine ownership of the finance function. The business is scaling and looking to strengthen controls, enhance reporting and prepare for future audit requirements. This role will suit a confident, hands-on finance leader who enjoys autonomy, accountability and being close to the commercial heartbeat of the business. Key Responsibilities Preparation of monthly management accounts, including clear commentary and variance analysis Board reporting and senior stakeholder engagement Oversight of financial controls, governance and statutory compliance Management of outsourced payroll Continuous improvement of finance processes and systems Leading the year-end process and audit preparation Liaison with auditors and external tax advisers Oversight of Corporation Tax, VAT and statutory reporting Preparation of rolling 13-week cashflow forecasts and working capital oversight Ownership of annual budgeting and forecasting Margin analysis, project profitability reporting and commercial insight Financial modelling and business case analysis to support new contracts and growth initiatives Supporting the CEO on strategic projects and strengthening financial robustness as the business scales About You Qualified accountant, ACA, ACCA or CIMA Strong post-qualified experience within an SME environment Comfortable operating as the senior finance lead in a growing business Technically strong across VAT, tax and statutory compliance Advanced Excel skills with confident financial modelling capability Experience preparing a business for audit Exposure to systems and process improvement Commercially aware, analytical and confident communicating at senior level What's On Offer £65,000 pro rata Flexible working pattern A key leadership role within a collaborative, close-knit team Real influence over how the finance function evolves If you are a qualified finance professional seeking a part-time opportunity where you can make a tangible impact within a growing business, we would welcome a confidential conversation. Talent Finance are committed to promoting Equality, Diversity and Inclusion in the workplace. We assess all applicants on equal merit and do not discriminate on the basis of age, gender, disability, race, religion/beliefs, or sexual orientation.
Mar 12, 2026
Full time
Financial Controller Part-Time Bognor Regis Flexible Hours £65,000 Pro Rata Talent Finance is partnering with a fast-growing SME to appoint an experienced Financial Controller into a broad, commercially focused leadership role. Reporting directly to the CEO, with CFO oversight and support, this is a highly visible position offering genuine ownership of the finance function. The business is scaling and looking to strengthen controls, enhance reporting and prepare for future audit requirements. This role will suit a confident, hands-on finance leader who enjoys autonomy, accountability and being close to the commercial heartbeat of the business. Key Responsibilities Preparation of monthly management accounts, including clear commentary and variance analysis Board reporting and senior stakeholder engagement Oversight of financial controls, governance and statutory compliance Management of outsourced payroll Continuous improvement of finance processes and systems Leading the year-end process and audit preparation Liaison with auditors and external tax advisers Oversight of Corporation Tax, VAT and statutory reporting Preparation of rolling 13-week cashflow forecasts and working capital oversight Ownership of annual budgeting and forecasting Margin analysis, project profitability reporting and commercial insight Financial modelling and business case analysis to support new contracts and growth initiatives Supporting the CEO on strategic projects and strengthening financial robustness as the business scales About You Qualified accountant, ACA, ACCA or CIMA Strong post-qualified experience within an SME environment Comfortable operating as the senior finance lead in a growing business Technically strong across VAT, tax and statutory compliance Advanced Excel skills with confident financial modelling capability Experience preparing a business for audit Exposure to systems and process improvement Commercially aware, analytical and confident communicating at senior level What's On Offer £65,000 pro rata Flexible working pattern A key leadership role within a collaborative, close-knit team Real influence over how the finance function evolves If you are a qualified finance professional seeking a part-time opportunity where you can make a tangible impact within a growing business, we would welcome a confidential conversation. Talent Finance are committed to promoting Equality, Diversity and Inclusion in the workplace. We assess all applicants on equal merit and do not discriminate on the basis of age, gender, disability, race, religion/beliefs, or sexual orientation.
Interim Senior Finance Manager
Talent Finance Ltd Reading, Berkshire
Talent Finance are supporting a highly respected and strategically important organisation in the appointment of an experienced Senior Finance Manager on an 18 month contract. This is a genuinely influential position suited to someone who enjoys working at the intersection of finance, strategy and delivery, using strong analytical thinking and financial modelling expertise to bring clarity and insight to complex decision making. You will step into a visible leadership role, supporting senior stakeholders while leading a capable finance team responsible for delivering accurate insight, strong governance and meaningful financial analysis that drives performance. The Role You will sit at the centre of financial activity, ensuring high quality financial information is produced, understood and used to support key operational and strategic outcomes. Alongside this, you will help shape finance processes, strengthen controls and drive continuous improvement across the function. This role suits someone who enjoys combining technical depth with leadership and stakeholder influence. Key Responsibilities • Lead delivery of financial activities to agreed time, cost and quality standards • Provide clear financial analysis, insight and modelling to support decision making • Ensure integrity, accuracy and timeliness of financial reporting • Maintain strong financial governance and compliance frameworks • Develop and coach Finance Managers and Analysts, creating a high performing team culture • Build trusted relationships with senior stakeholders across the organisation • Drive process improvement and innovation within finance operations • Support development of finance policies and procedures • Coordinate team planning and delivery across multiple priorities What We Are Looking For • Qualified Accountant (CIMA, ACA, ACCA or equivalent) • Strong finance analysis and advanced financial modelling capability • Experience operating at Senior Finance Manager level within complex environments • Proven leadership and team development experience • Excellent stakeholder engagement and influencing skills • Strong understanding of financial controls and governance • A proactive, solutions focused approach and confident communicator Security Requirements Due to the nature of the environment: • British Citizenship is required • Candidates must have resided in the UK for the past five years to obtain SC Clearance (ten years for DV) • Existing SC clearance or the ability to obtain clearance quickly is essential • Dual nationality may be considered for certain positions Why This Role? This is an opportunity to work in a genuinely impactful environment where finance plays a central role in strategic delivery. You will gain exposure to senior decision makers, complex financial challenges and a collaborative hybrid working culture. If you are a commercially minded finance leader who enjoys bringing clarity to complexity, we would love to speak with you. Talent Finance are managing applications exclusively. Apply now for a March start. Talent Finance are committed to promoting Equality, Diversity and Inclusion in the workplace. We review all applicants on equal merit and we do not discriminate on the basis of age, gender, sex, relationship status, disability, race, religion/beliefs, or sexual orientation.
Mar 12, 2026
Contractor
Talent Finance are supporting a highly respected and strategically important organisation in the appointment of an experienced Senior Finance Manager on an 18 month contract. This is a genuinely influential position suited to someone who enjoys working at the intersection of finance, strategy and delivery, using strong analytical thinking and financial modelling expertise to bring clarity and insight to complex decision making. You will step into a visible leadership role, supporting senior stakeholders while leading a capable finance team responsible for delivering accurate insight, strong governance and meaningful financial analysis that drives performance. The Role You will sit at the centre of financial activity, ensuring high quality financial information is produced, understood and used to support key operational and strategic outcomes. Alongside this, you will help shape finance processes, strengthen controls and drive continuous improvement across the function. This role suits someone who enjoys combining technical depth with leadership and stakeholder influence. Key Responsibilities • Lead delivery of financial activities to agreed time, cost and quality standards • Provide clear financial analysis, insight and modelling to support decision making • Ensure integrity, accuracy and timeliness of financial reporting • Maintain strong financial governance and compliance frameworks • Develop and coach Finance Managers and Analysts, creating a high performing team culture • Build trusted relationships with senior stakeholders across the organisation • Drive process improvement and innovation within finance operations • Support development of finance policies and procedures • Coordinate team planning and delivery across multiple priorities What We Are Looking For • Qualified Accountant (CIMA, ACA, ACCA or equivalent) • Strong finance analysis and advanced financial modelling capability • Experience operating at Senior Finance Manager level within complex environments • Proven leadership and team development experience • Excellent stakeholder engagement and influencing skills • Strong understanding of financial controls and governance • A proactive, solutions focused approach and confident communicator Security Requirements Due to the nature of the environment: • British Citizenship is required • Candidates must have resided in the UK for the past five years to obtain SC Clearance (ten years for DV) • Existing SC clearance or the ability to obtain clearance quickly is essential • Dual nationality may be considered for certain positions Why This Role? This is an opportunity to work in a genuinely impactful environment where finance plays a central role in strategic delivery. You will gain exposure to senior decision makers, complex financial challenges and a collaborative hybrid working culture. If you are a commercially minded finance leader who enjoys bringing clarity to complexity, we would love to speak with you. Talent Finance are managing applications exclusively. Apply now for a March start. Talent Finance are committed to promoting Equality, Diversity and Inclusion in the workplace. We review all applicants on equal merit and we do not discriminate on the basis of age, gender, sex, relationship status, disability, race, religion/beliefs, or sexual orientation.
Sellick Partnership
Interim Finance Director
Sellick Partnership Manchester, Lancashire
Interim Finance Director Salary: £125,000- £150,000 (day rate considered) Location: Manchester (hybrid) Duration: 6 months (potential for extension) Sellick Partnership has been engaged to recruit an Interim Finance Director for a PE backed Group who is on a high growth trajectory due to a buy and build project. This is a key role with high impact as your task will be to lead a review of two acquired businesses to assess what needs to be implemented to increase the performance in tandem with their strategic plan. Key responsibilities: Review and enhance financial controls, reporting, and governance across acquired entities Identify opportunities to improve margin, cash, and working-capital performance Lead integration of finance processes into the group model Partner with Group CFO and PE investors on insight, reporting, and recommendations Support change management and drive efficiency across teams The successful individual: Qualified accountant (ACA or ACCA or CIMA) Proven experience as a commercial astute and hands on Finance Director within the legal sector, or professional services environments Strong background in post-acquisition review, integration, and transformation Hands-on, commercially focused, and confident in fast-paced, PE-backed settings Proven track record of driving improvements Be able to demonstrate a solid understanding of strategic, commercial and operational activities to deliver objectives Excellent stakeholder management and communication skills Available immediately or at short notice We are only able to consider applications from those who are eligible to work in the UK without requiring sponsorship. Sellick Partnership is proud to be an inclusive and accessible recruitment business and we support applications from candidates of all backgrounds and circumstances. Please note, our advertisements use years' experience, hourly rates, and salary levels purely as a guide and we assess applications based on the experience and skills evidenced on the CV. For information on how your personal details may be used by Sellick Partnership, please review our data processing notice on our website.
Mar 12, 2026
Contractor
Interim Finance Director Salary: £125,000- £150,000 (day rate considered) Location: Manchester (hybrid) Duration: 6 months (potential for extension) Sellick Partnership has been engaged to recruit an Interim Finance Director for a PE backed Group who is on a high growth trajectory due to a buy and build project. This is a key role with high impact as your task will be to lead a review of two acquired businesses to assess what needs to be implemented to increase the performance in tandem with their strategic plan. Key responsibilities: Review and enhance financial controls, reporting, and governance across acquired entities Identify opportunities to improve margin, cash, and working-capital performance Lead integration of finance processes into the group model Partner with Group CFO and PE investors on insight, reporting, and recommendations Support change management and drive efficiency across teams The successful individual: Qualified accountant (ACA or ACCA or CIMA) Proven experience as a commercial astute and hands on Finance Director within the legal sector, or professional services environments Strong background in post-acquisition review, integration, and transformation Hands-on, commercially focused, and confident in fast-paced, PE-backed settings Proven track record of driving improvements Be able to demonstrate a solid understanding of strategic, commercial and operational activities to deliver objectives Excellent stakeholder management and communication skills Available immediately or at short notice We are only able to consider applications from those who are eligible to work in the UK without requiring sponsorship. Sellick Partnership is proud to be an inclusive and accessible recruitment business and we support applications from candidates of all backgrounds and circumstances. Please note, our advertisements use years' experience, hourly rates, and salary levels purely as a guide and we assess applications based on the experience and skills evidenced on the CV. For information on how your personal details may be used by Sellick Partnership, please review our data processing notice on our website.
Altum Consulting
FP&A Senior Analyst
Altum Consulting
Role Overview An exciting opportunity has arisen for a highly capable FP&A Senior Analyst to join a newly structured Commercial Finance function within a major UK organisation undergoing strategic transformation. This role sits at the heart of the finance function, supporting enterprise-wide planning, performance management, and executive-level reporting. The successful candidate will play a critical role in delivering high-quality financial insight, corporate reporting, and strategic performance materials for senior leadership, executive committees, and board-level governance. You will work closely with finance business partners, insight/analytics teams, people/HR teams, and corporate functions to ensure consistent, accurate, and high-impact reporting that supports strategic decision-making at the highest level of the organisation. This is a unique opportunity for a commercially minded finance professional who thrives in high-profile, high-impact environments and enjoys working directly with senior stakeholders. Key Responsibilities Executive & Board Reporting Prepare high-quality presentations, reports, and briefing materials for executive leadership and board-level meetings Coordinate finance inputs into board, audit, and remuneration committee materials Prepare briefing notes and Q&A documents for senior leadership presentations Own and manage the finance agenda for executive committee meetings Support annual reporting processes and executive communications Lead coordination of monthly performance reporting packs across the business Planning, Budgeting & Forecasting Support budgeting, forecasting, and multi-year planning cycles Contribute to financial planning documentation and strategic forecasts Management Information & Reporting Streamline and standardise KPI reporting across the organisation Build automated, consistent, and scalable management information frameworks Develop self-service dashboards and reporting tools (e.g. Power BI) Design and manage headcount and workforce planning models Ensure a single source of truth for financial and performance data Champion automation and reporting standardisation across finance Performance & Strategy Support Coordinate quarterly business review processes Support performance reporting across key operational and commercial functions Align reporting frameworks with corporate strategy and performance objectives Essential Skills & Experience Strong written communication and presentation skills Experience producing reports and documents for senior leadership Ability to simplify complex information and communicate clearly Excellent attention to detail and presentation standards Advanced MS Office skills (Excel, PowerPoint, Word) Strong financial analysis and modelling capability Experience with data visualisation tools (e.g. Power BI) Ability to work at pace in a fast-moving environment Excellent organisational and prioritisation skills Strong stakeholder management and relationship-building skills High professional standards, integrity, and credibility Self-starter with ability to manage multiple priorities under pressure Qualified accountant (preferred but not essential) Experience in investor relations or executive-level reporting (desirable) What This Role Offers Exposure to executive leadership and board-level decision-making Strategic influence across corporate performance and planning High-profile role within a central finance function Opportunity to shape reporting frameworks and performance structures Career progression within a complex, high-impact organisation
Mar 12, 2026
Full time
Role Overview An exciting opportunity has arisen for a highly capable FP&A Senior Analyst to join a newly structured Commercial Finance function within a major UK organisation undergoing strategic transformation. This role sits at the heart of the finance function, supporting enterprise-wide planning, performance management, and executive-level reporting. The successful candidate will play a critical role in delivering high-quality financial insight, corporate reporting, and strategic performance materials for senior leadership, executive committees, and board-level governance. You will work closely with finance business partners, insight/analytics teams, people/HR teams, and corporate functions to ensure consistent, accurate, and high-impact reporting that supports strategic decision-making at the highest level of the organisation. This is a unique opportunity for a commercially minded finance professional who thrives in high-profile, high-impact environments and enjoys working directly with senior stakeholders. Key Responsibilities Executive & Board Reporting Prepare high-quality presentations, reports, and briefing materials for executive leadership and board-level meetings Coordinate finance inputs into board, audit, and remuneration committee materials Prepare briefing notes and Q&A documents for senior leadership presentations Own and manage the finance agenda for executive committee meetings Support annual reporting processes and executive communications Lead coordination of monthly performance reporting packs across the business Planning, Budgeting & Forecasting Support budgeting, forecasting, and multi-year planning cycles Contribute to financial planning documentation and strategic forecasts Management Information & Reporting Streamline and standardise KPI reporting across the organisation Build automated, consistent, and scalable management information frameworks Develop self-service dashboards and reporting tools (e.g. Power BI) Design and manage headcount and workforce planning models Ensure a single source of truth for financial and performance data Champion automation and reporting standardisation across finance Performance & Strategy Support Coordinate quarterly business review processes Support performance reporting across key operational and commercial functions Align reporting frameworks with corporate strategy and performance objectives Essential Skills & Experience Strong written communication and presentation skills Experience producing reports and documents for senior leadership Ability to simplify complex information and communicate clearly Excellent attention to detail and presentation standards Advanced MS Office skills (Excel, PowerPoint, Word) Strong financial analysis and modelling capability Experience with data visualisation tools (e.g. Power BI) Ability to work at pace in a fast-moving environment Excellent organisational and prioritisation skills Strong stakeholder management and relationship-building skills High professional standards, integrity, and credibility Self-starter with ability to manage multiple priorities under pressure Qualified accountant (preferred but not essential) Experience in investor relations or executive-level reporting (desirable) What This Role Offers Exposure to executive leadership and board-level decision-making Strategic influence across corporate performance and planning High-profile role within a central finance function Opportunity to shape reporting frameworks and performance structures Career progression within a complex, high-impact organisation
Robert Walters
Sales Finance Business Partner
Robert Walters
Robert Walters - Sales Finance Business Partner- Permanent - Hybrid - North Birmingham - £65,000-£80,000 per annum Job title: Sales Finance Business Partner Location: North Birmingham Salary: £65,000-£80,000 per annum Hours: Full time (Hybrid) Role details An exciting opportunity has arisen for a Sales Finance Business Partner to join a large, complex organisation in North Birmingham. This pivotal role will take ownership of the organisation's cost base, acting as a strategic partner to senior stakeholders across corporate and operational functions. You will provide high quality financial insight, lead budgeting and forecasting activities, and drive productivity and efficiency initiatives that enhance cost visibility, control, and overall business performance. Responsibility of the Sales Finance Business Partner Take ownership for understanding the total business spend (circa £400M), ensuring accurate reporting and driving productivity initiatives to enhance cost visibility and control. Partner closely with business leaders and functional heads to deliver comprehensive financial insight, analysis, and forecasting that supports strategic decision making at all levels. Lead the budgeting and forecasting processes for designated business areas, ensuring alignment with corporate objectives while meeting critical deadlines. Manage a small team within the FP&A function responsible for Finance Business Partnering for Central Functions, fostering their growth through supportive leadership. Provide detailed variance analysis and commentary on financial performance, highlighting risks, identifying opportunities, and recommending corrective actions as needed. Collaborate extensively across departments such as operations, commercial, and HR to influence financial outcomes and champion efficiency initiatives throughout the organisation. Translate complex financial information into clear, concise reports and presentations tailored for non-finance stakeholders to facilitate informed decision-making. Ensure robust financial compliance, controls, and governance are maintained across all business activities in line with group policies. What the successful candidate will bring Fully qualified accountant (ACA, ACCA, CIMA). Exhibit advanced analytical skills alongside strong commercial acumen; able to interpret data trends and model scenarios effectively for strategic planning purposes. Showcase excellent communication abilities with an aptitude for simplifying complex data so it can be easily understood by non-financial audiences at all levels of the organisation. Possess outstanding interpersonal skills that enable you to collaborate effectively across diverse teams while influencing positive outcomes through shared goals. What sets this company apart This organisation is a leader in the retail sector, renowned for its ambitious growth and commitment to excellence. With a clear focus on innovation and market leadership, it offers employees the opportunity to work on high impact projects across multiple divisions and legal entities. The company invests in developing talent at every level, providing structured training, mentorship, and clear pathways for career progression. By joining this team, you become part of a forward thinking business where success is recognised, growth is encouraged, and your contributions make a tangible impact on the company's continued success. 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 12, 2026
Full time
Robert Walters - Sales Finance Business Partner- Permanent - Hybrid - North Birmingham - £65,000-£80,000 per annum Job title: Sales Finance Business Partner Location: North Birmingham Salary: £65,000-£80,000 per annum Hours: Full time (Hybrid) Role details An exciting opportunity has arisen for a Sales Finance Business Partner to join a large, complex organisation in North Birmingham. This pivotal role will take ownership of the organisation's cost base, acting as a strategic partner to senior stakeholders across corporate and operational functions. You will provide high quality financial insight, lead budgeting and forecasting activities, and drive productivity and efficiency initiatives that enhance cost visibility, control, and overall business performance. Responsibility of the Sales Finance Business Partner Take ownership for understanding the total business spend (circa £400M), ensuring accurate reporting and driving productivity initiatives to enhance cost visibility and control. Partner closely with business leaders and functional heads to deliver comprehensive financial insight, analysis, and forecasting that supports strategic decision making at all levels. Lead the budgeting and forecasting processes for designated business areas, ensuring alignment with corporate objectives while meeting critical deadlines. Manage a small team within the FP&A function responsible for Finance Business Partnering for Central Functions, fostering their growth through supportive leadership. Provide detailed variance analysis and commentary on financial performance, highlighting risks, identifying opportunities, and recommending corrective actions as needed. Collaborate extensively across departments such as operations, commercial, and HR to influence financial outcomes and champion efficiency initiatives throughout the organisation. Translate complex financial information into clear, concise reports and presentations tailored for non-finance stakeholders to facilitate informed decision-making. Ensure robust financial compliance, controls, and governance are maintained across all business activities in line with group policies. What the successful candidate will bring Fully qualified accountant (ACA, ACCA, CIMA). Exhibit advanced analytical skills alongside strong commercial acumen; able to interpret data trends and model scenarios effectively for strategic planning purposes. Showcase excellent communication abilities with an aptitude for simplifying complex data so it can be easily understood by non-financial audiences at all levels of the organisation. Possess outstanding interpersonal skills that enable you to collaborate effectively across diverse teams while influencing positive outcomes through shared goals. What sets this company apart This organisation is a leader in the retail sector, renowned for its ambitious growth and commitment to excellence. With a clear focus on innovation and market leadership, it offers employees the opportunity to work on high impact projects across multiple divisions and legal entities. The company invests in developing talent at every level, providing structured training, mentorship, and clear pathways for career progression. By joining this team, you become part of a forward thinking business where success is recognised, growth is encouraged, and your contributions make a tangible impact on the company's continued success. 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
JANE GORSE RECRUITMENT LIMITED
Finance Manager
JANE GORSE RECRUITMENT LIMITED Warrington, Cheshire
Finance Manager UK-Based Hybrid Working (3 Days Office / 2 Days Home) Full-Time Competitive Salary + Bonus + Car Allowance An established UK-based services organisation is seeking an experienced Finance Manager to lead its finance function and act as a key business partner to senior leadership. This is a broad, hands-on leadership role offering genuine ownership of financial reporting, controls, and performance improvement within a stable, well-structured business. The Role Reporting directly to senior management, the Finance Manager will oversee end-to-end finance operations, ensuring accuracy, integrity, and compliance across all financial reporting. You will play a critical role in supporting commercial decision-making, strengthening governance, and driving continuous improvement across the organisation. Key Responsibilities Lead, develop, and motivate the finance team Take full ownership of monthly management accounts, including P&L, balance sheet, and cashflow Manage budgeting, forecasting, and financial performance analysis Drive financial process improvements and system efficiencies Ensure strong governance, controls, and regulatory compliance Oversee VAT, CIS, statutory accounts, and audit requirements Partner with senior leadership and operational stakeholders to enhance business performance About You 7+ years' experience in a senior finance role Fully qualified accountant (CIMA, ACCA, or equivalent) Strong background in operational finance and reporting Proven track record of delivering process improvements and cost control initiatives Confident communicator, able to collaborate effectively across finance and non-finance teams Advanced Excel skills with experience using Sage or similar ERP systems What's on Offer Senior leadership role with genuine influence Opportunity to shape and improve the finance function Stable organisation with a supportive and collaborative culture Competitive salary Annual bonus Car allowance Hybrid working (3 days office / 2 days home) Free on-site parking If you are an ambitious and commercially minded finance professional looking to make a meaningful impact, we would welcome your application. Please apply with your most recent CV and a short cover note outlining your suitability for the role.
Mar 12, 2026
Full time
Finance Manager UK-Based Hybrid Working (3 Days Office / 2 Days Home) Full-Time Competitive Salary + Bonus + Car Allowance An established UK-based services organisation is seeking an experienced Finance Manager to lead its finance function and act as a key business partner to senior leadership. This is a broad, hands-on leadership role offering genuine ownership of financial reporting, controls, and performance improvement within a stable, well-structured business. The Role Reporting directly to senior management, the Finance Manager will oversee end-to-end finance operations, ensuring accuracy, integrity, and compliance across all financial reporting. You will play a critical role in supporting commercial decision-making, strengthening governance, and driving continuous improvement across the organisation. Key Responsibilities Lead, develop, and motivate the finance team Take full ownership of monthly management accounts, including P&L, balance sheet, and cashflow Manage budgeting, forecasting, and financial performance analysis Drive financial process improvements and system efficiencies Ensure strong governance, controls, and regulatory compliance Oversee VAT, CIS, statutory accounts, and audit requirements Partner with senior leadership and operational stakeholders to enhance business performance About You 7+ years' experience in a senior finance role Fully qualified accountant (CIMA, ACCA, or equivalent) Strong background in operational finance and reporting Proven track record of delivering process improvements and cost control initiatives Confident communicator, able to collaborate effectively across finance and non-finance teams Advanced Excel skills with experience using Sage or similar ERP systems What's on Offer Senior leadership role with genuine influence Opportunity to shape and improve the finance function Stable organisation with a supportive and collaborative culture Competitive salary Annual bonus Car allowance Hybrid working (3 days office / 2 days home) Free on-site parking If you are an ambitious and commercially minded finance professional looking to make a meaningful impact, we would welcome your application. Please apply with your most recent CV and a short cover note outlining your suitability for the role.
Mackie Myers
Interim Financial Controller
Mackie Myers Addlestone, Surrey
9-12 month contract Office based position ( 3-4 days, travel & hotel provided) Expenses paid Interim Financial Controller sought for 9-12 month contract. Well-known blue-chip brand and global Engineering Business seeks a hands on Financial Controller/ Business Partner to improve processes and controls for a rapidly growing business unit. 3-4 days per week required in the office ( Candidates will need to stay away -travel and accommodation is covered) Daily Rate on offer, £700 - 800 per day, plus expenses. We are looking for demonstrable experience of implementing robust financial processes and controls in a deadline driven and highly demanding blue-chip or plc manufacturing/ engineering environment. You will likely be practice trained, ideally top 10, with substantial industry experience in financial control and business partnering for large business ( >£400m T/O) We are looking for talented, driven and proactive individuals from across the UK that can commit to this office based role Flights, travel and hotel will be covered. P osition based in the UK This position offers significant exposure to senior leadership within a complex, performance-driven engineering environment of a major blue-chip business. The Role Lead finance, reporting, and controls for a major operational site Drive cost control, performance analysis, and financial discipline Strengthen processes and internal controls Operate at pace to deliver strategic process change and deliver insight for senior leadership team. The Candidate We are seeking a high-calibre, degree educated and practice trained Accountant (ACA or equivalent) that has operated as a Financial Controller for a major brand ( £500 turnover business unit) Ideally you will be Big 4 or leading Top 10 trained Strong audit, reporting, and controls background in manufacturing/ engineering sector Commercially sharp, robust with gravitas and confident with senior stakeholders Ready for a visible leadership role in a large-scale environment 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 12, 2026
Seasonal
9-12 month contract Office based position ( 3-4 days, travel & hotel provided) Expenses paid Interim Financial Controller sought for 9-12 month contract. Well-known blue-chip brand and global Engineering Business seeks a hands on Financial Controller/ Business Partner to improve processes and controls for a rapidly growing business unit. 3-4 days per week required in the office ( Candidates will need to stay away -travel and accommodation is covered) Daily Rate on offer, £700 - 800 per day, plus expenses. We are looking for demonstrable experience of implementing robust financial processes and controls in a deadline driven and highly demanding blue-chip or plc manufacturing/ engineering environment. You will likely be practice trained, ideally top 10, with substantial industry experience in financial control and business partnering for large business ( >£400m T/O) We are looking for talented, driven and proactive individuals from across the UK that can commit to this office based role Flights, travel and hotel will be covered. P osition based in the UK This position offers significant exposure to senior leadership within a complex, performance-driven engineering environment of a major blue-chip business. The Role Lead finance, reporting, and controls for a major operational site Drive cost control, performance analysis, and financial discipline Strengthen processes and internal controls Operate at pace to deliver strategic process change and deliver insight for senior leadership team. The Candidate We are seeking a high-calibre, degree educated and practice trained Accountant (ACA or equivalent) that has operated as a Financial Controller for a major brand ( £500 turnover business unit) Ideally you will be Big 4 or leading Top 10 trained Strong audit, reporting, and controls background in manufacturing/ engineering sector Commercially sharp, robust with gravitas and confident with senior stakeholders Ready for a visible leadership role in a large-scale environment 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.
Sauce Recruitment Ltd
Financial Controller
Sauce Recruitment Ltd
Financial Controller - International Broadcast News London We are working with a well-established international broadcast news organisation to appoint a Financial Controller at an exciting stage of global expansion. This is a newly created position offering genuine ownership of the finance function within a fast-paced, internationally operating business. Reporting directly to the CEO, COO and CRO, you will act as a trusted partner to senior leadership while remaining hands-on across day-to-day finance operations. The organisation operates across multiple global locations in a reactive environment where priorities can shift quickly. We are looking for a commercially minded, pragmatic finance leader who can balance strategic oversight with operational delivery. The Role As Financial Controller, you will take full responsibility for the finance function and lead a small international team. You will ensure robust financial control while enabling the commercial ambitions of the business. Key responsibilities include: Leading the month-end close across AP, AR, banking, fixed assets and trial balance Producing monthly and quarterly management accounts with clear analysis and actionable insight Managing cash flow forecasting and daily liquidity Overseeing payroll and statutory reporting across multiple jurisdictions Maintaining strong financial controls and approval processes Acting as primary payment approver Liaising with global tax advisers, auditors and banking partners Partnering with senior leadership on budgeting, forecasting and commercial strategy Advising on revenue structures and intercompany movements to support cross-border trading Providing ad hoc financial insight to operations and sales teams About You Qualified accountant (ACA, ACCA, CIMA or equivalent) Proven experience within broadcasting or the media sector Background operating in an SME or founder-led environment Experience managing international entities and multi-currency operations Strong technical accounting knowledge and control oversight Hands-on, yet able to think strategically Confident working closely with senior stakeholders Pragmatic, solutions-focused and able to improve processes without over-engineering This opportunity would suit someone who thrives in an operational environment, enjoys working alongside engaged leadership, and is looking to make a tangible impact within a growing international business. If this sounds of interest, please apply, DM me directly, or email for a confidential conversation.
Mar 12, 2026
Full time
Financial Controller - International Broadcast News London We are working with a well-established international broadcast news organisation to appoint a Financial Controller at an exciting stage of global expansion. This is a newly created position offering genuine ownership of the finance function within a fast-paced, internationally operating business. Reporting directly to the CEO, COO and CRO, you will act as a trusted partner to senior leadership while remaining hands-on across day-to-day finance operations. The organisation operates across multiple global locations in a reactive environment where priorities can shift quickly. We are looking for a commercially minded, pragmatic finance leader who can balance strategic oversight with operational delivery. The Role As Financial Controller, you will take full responsibility for the finance function and lead a small international team. You will ensure robust financial control while enabling the commercial ambitions of the business. Key responsibilities include: Leading the month-end close across AP, AR, banking, fixed assets and trial balance Producing monthly and quarterly management accounts with clear analysis and actionable insight Managing cash flow forecasting and daily liquidity Overseeing payroll and statutory reporting across multiple jurisdictions Maintaining strong financial controls and approval processes Acting as primary payment approver Liaising with global tax advisers, auditors and banking partners Partnering with senior leadership on budgeting, forecasting and commercial strategy Advising on revenue structures and intercompany movements to support cross-border trading Providing ad hoc financial insight to operations and sales teams About You Qualified accountant (ACA, ACCA, CIMA or equivalent) Proven experience within broadcasting or the media sector Background operating in an SME or founder-led environment Experience managing international entities and multi-currency operations Strong technical accounting knowledge and control oversight Hands-on, yet able to think strategically Confident working closely with senior stakeholders Pragmatic, solutions-focused and able to improve processes without over-engineering This opportunity would suit someone who thrives in an operational environment, enjoys working alongside engaged leadership, and is looking to make a tangible impact within a growing international business. If this sounds of interest, please apply, DM me directly, or email for a confidential conversation.
Portfolio Manager
Lawrence and Company Sawbridgeworth, Hertfordshire
Portfolio Manager - Job Description Location: Office-based 3-4 days per week Employment Type: Full-time Department: Accounts & Business Services Overview We are seeking an experienced Portfolio Manager to oversee a varied client portfolio and lead the delivery of high-quality accounting, tax, and advisory services. This role is ideal for a technically strong accountant with excellent client management skills and a proven ability to manage workflows, mentor junior staff, and ensure consistent delivery across statutory accounts, management reporting, and tax compliance. Key Responsibilities Portfolio & Client Management Act as the primary point of contact for a diverse portfolio of clients across multiple sectors. Build strong, long-term client relationships through proactive communication and delivery of high-quality work. Review work completed by junior and mid-level team members, ensuring accuracy and technical compliance. Identify advisory opportunities and support the delivery of value-added services. Statutory Accounts Production Review and prepare statutory accounts in accordance with: FRS 102 FRS 102 1A FRS 105 IFRS Ensure all financial statements comply with relevant accounting standards and firm quality guidelines. Management Reporting Prepare and review management accounts , ensuring timely and accurate reporting. Provide insightful variance analysis , commentary, and financial insights to support client decision-making. Tax & Compliance Oversee and review corporation tax computations and returns. Manage VAT compliance , including preparation, review, and submission of VAT returns. Ensure all filings and submissions are made accurately and within statutory deadlines. Team Leadership & Workflow Management Assist in training, mentoring, and supervising junior team members. Manage job scheduling, deadlines, and workflow across the portfolio. Contribute to the continuous improvement of internal processes and technical standards. Skills & Experience Required Technical Skills Strong knowledge of UK GAAP (FRS102, FRS102 1A, FRS105) and IFRS. Proven experience in statutory accounts preparation and review. Strong understanding of management reporting and variance analysis. Solid corporate tax and VAT compliance experience. Systems Experience Iris (essential) Xero Sage QuickBooks Dext Professional Experience ACA / ACCA qualified (or equivalent experience). 5+ years' experience in practice, with experience managing client portfolios. Strong analytical ability and a high level of attention to detail. Excellent communication and client-handling skills. Personal Attributes Proactive, organised, and able to manage multiple deadlines. Confident in advising clients and presenting financial information clearly. Team-focused, supportive, and motivated to help others develop. Commercially aware, with a passion for delivering high-quality work.
Mar 12, 2026
Full time
Portfolio Manager - Job Description Location: Office-based 3-4 days per week Employment Type: Full-time Department: Accounts & Business Services Overview We are seeking an experienced Portfolio Manager to oversee a varied client portfolio and lead the delivery of high-quality accounting, tax, and advisory services. This role is ideal for a technically strong accountant with excellent client management skills and a proven ability to manage workflows, mentor junior staff, and ensure consistent delivery across statutory accounts, management reporting, and tax compliance. Key Responsibilities Portfolio & Client Management Act as the primary point of contact for a diverse portfolio of clients across multiple sectors. Build strong, long-term client relationships through proactive communication and delivery of high-quality work. Review work completed by junior and mid-level team members, ensuring accuracy and technical compliance. Identify advisory opportunities and support the delivery of value-added services. Statutory Accounts Production Review and prepare statutory accounts in accordance with: FRS 102 FRS 102 1A FRS 105 IFRS Ensure all financial statements comply with relevant accounting standards and firm quality guidelines. Management Reporting Prepare and review management accounts , ensuring timely and accurate reporting. Provide insightful variance analysis , commentary, and financial insights to support client decision-making. Tax & Compliance Oversee and review corporation tax computations and returns. Manage VAT compliance , including preparation, review, and submission of VAT returns. Ensure all filings and submissions are made accurately and within statutory deadlines. Team Leadership & Workflow Management Assist in training, mentoring, and supervising junior team members. Manage job scheduling, deadlines, and workflow across the portfolio. Contribute to the continuous improvement of internal processes and technical standards. Skills & Experience Required Technical Skills Strong knowledge of UK GAAP (FRS102, FRS102 1A, FRS105) and IFRS. Proven experience in statutory accounts preparation and review. Strong understanding of management reporting and variance analysis. Solid corporate tax and VAT compliance experience. Systems Experience Iris (essential) Xero Sage QuickBooks Dext Professional Experience ACA / ACCA qualified (or equivalent experience). 5+ years' experience in practice, with experience managing client portfolios. Strong analytical ability and a high level of attention to detail. Excellent communication and client-handling skills. Personal Attributes Proactive, organised, and able to manage multiple deadlines. Confident in advising clients and presenting financial information clearly. Team-focused, supportive, and motivated to help others develop. Commercially aware, with a passion for delivering high-quality work.
Axon Moore Group Ltd
Finance Manager
Axon Moore Group Ltd Chesterfield, Derbyshire
Axon Moore are delighted to be partnering with a leading services business based in Chesterfield to recruit a Finance Manager who will play a pivotal role in driving financial performance and operational excellence.Reporting to the Finance Director, you will be responsible for delivering accurate and timely financial and management accounts, leading the month-end close process, and overseeing P&L reporting and analysis. You'll manage a small finance team, ensuring smooth day-to-day operations while driving continuous improvement across reporting and controls.This is a hands-on role with real scope to influence financial decision-making and support strategic growth. Key Responsibilities Lead the month-end close process, ensuring accurate and timely financial and management accounts Oversee P&L reporting, variance analysis, and commentary for senior stakeholders Manage and develop a small finance team, ensuring strong performance and effective workflow Drive improvements across financial controls, processes, and reporting frameworks Produce budgeting and forecasting outputs, supporting the FD with financial planning Provide commercial insight to operational leaders, helping drive cost control and profitability Maintain balance sheet integrity through robust reconciliations and review Support cashflow forecasting, working capital management, and financial modelling where required Partner with non-finance teams to improve financial understanding and decision-making Ensure compliance with statutory, audit, and internal reporting requirements The Successful Candidate The ideal candidate will be a qualified accountant (ACA, ACCA, CIMA or equivalent) with solid experience in financial and management reporting. You'll have a strong grasp of month-end processes, P&L analysis, and team leadership, with the confidence to challenge, influence, and support stakeholders across the business
Mar 12, 2026
Full time
Axon Moore are delighted to be partnering with a leading services business based in Chesterfield to recruit a Finance Manager who will play a pivotal role in driving financial performance and operational excellence.Reporting to the Finance Director, you will be responsible for delivering accurate and timely financial and management accounts, leading the month-end close process, and overseeing P&L reporting and analysis. You'll manage a small finance team, ensuring smooth day-to-day operations while driving continuous improvement across reporting and controls.This is a hands-on role with real scope to influence financial decision-making and support strategic growth. Key Responsibilities Lead the month-end close process, ensuring accurate and timely financial and management accounts Oversee P&L reporting, variance analysis, and commentary for senior stakeholders Manage and develop a small finance team, ensuring strong performance and effective workflow Drive improvements across financial controls, processes, and reporting frameworks Produce budgeting and forecasting outputs, supporting the FD with financial planning Provide commercial insight to operational leaders, helping drive cost control and profitability Maintain balance sheet integrity through robust reconciliations and review Support cashflow forecasting, working capital management, and financial modelling where required Partner with non-finance teams to improve financial understanding and decision-making Ensure compliance with statutory, audit, and internal reporting requirements The Successful Candidate The ideal candidate will be a qualified accountant (ACA, ACCA, CIMA or equivalent) with solid experience in financial and management reporting. You'll have a strong grasp of month-end processes, P&L analysis, and team leadership, with the confidence to challenge, influence, and support stakeholders across the business
Yolk Recruitment Ltd
Finance Director
Yolk Recruitment Ltd Tewkesbury, Gloucestershire
An established and growing manufacturing business based in Tewkesbury is seeking an experienced Finance Director to join its Board. This is a strategic leadership role requiring a commercially astute finance professional with a strong manufacturing background and the ability to operate both strategically and operationally. This role is site-based in Tewkesbury. Candidates must be local and able to work on-site full-time. The Role As Finance Director, you will provide strategic financial leadership, commercial insight, and robust governance across the Group. Reporting to the Managing Director and working closely with the Board, you will lead the Finance and IT functions while overseeing payroll to ensure strong financial control, effective systems, and sustainable growth. You will manage a well-established finance and IT team including Financial Control, Management Accounts, Credit Control, Payroll, and IT. Key Responsibilities Strategic & Commercial Leadership Act as a trusted strategic advisor to the Managing Director and Board. Lead long-term financial planning aligned with business objectives. Drive profitability, margin growth, and cost discipline. Lead financial modelling and analysis for strategic initiatives. Financial Control & Governance Maintain full control of financial transactions, controls, and processes. Ensure statutory and regulatory compliance. Lead external audit and statutory reporting. Oversee the company-wide risk register and governance framework. Budgeting & Reporting Lead annual budgeting and rolling forecasts. Deliver accurate monthly management accounts and KPI reporting. Maintain robust long-term cash flow forecasting. Corporate Finance & Risk Manage banking relationships and funding structures. Oversee treasury and capital requirements. Lead insurance negotiations and risk management activities. Payroll Oversight Oversee payroll operations, ensuring compliance and accuracy. Ensure seamless integration between payroll and finance systems. IT Leadership Own and develop the IT strategy to support business growth. Oversee ERP, finance systems, and business intelligence capabilities. Ensure cybersecurity and data protection compliance. Leadership & Culture Lead, mentor, and develop high-performing Finance and IT teams. Promote accountability, professionalism, and continuous improvement. Contribute positively to company culture and values. About You Qualifications Degree educated or equivalent experience. Fully qualified accountant (ACA, ACCA, CIMA or equivalent). Experience Significant senior finance leadership experience. Essential: Experience within a high-volume, transaction-based manufacturing environment. Proven track record of leading financial and systems transformation. Experience operating at Board level. Personal Attributes Commercially astute and strategically minded. Strong communicator able to influence at Board and operational levels. High integrity with strong professional credibility. Hands-on approach with the ability to operate both strategically and operationally.
Mar 12, 2026
Full time
An established and growing manufacturing business based in Tewkesbury is seeking an experienced Finance Director to join its Board. This is a strategic leadership role requiring a commercially astute finance professional with a strong manufacturing background and the ability to operate both strategically and operationally. This role is site-based in Tewkesbury. Candidates must be local and able to work on-site full-time. The Role As Finance Director, you will provide strategic financial leadership, commercial insight, and robust governance across the Group. Reporting to the Managing Director and working closely with the Board, you will lead the Finance and IT functions while overseeing payroll to ensure strong financial control, effective systems, and sustainable growth. You will manage a well-established finance and IT team including Financial Control, Management Accounts, Credit Control, Payroll, and IT. Key Responsibilities Strategic & Commercial Leadership Act as a trusted strategic advisor to the Managing Director and Board. Lead long-term financial planning aligned with business objectives. Drive profitability, margin growth, and cost discipline. Lead financial modelling and analysis for strategic initiatives. Financial Control & Governance Maintain full control of financial transactions, controls, and processes. Ensure statutory and regulatory compliance. Lead external audit and statutory reporting. Oversee the company-wide risk register and governance framework. Budgeting & Reporting Lead annual budgeting and rolling forecasts. Deliver accurate monthly management accounts and KPI reporting. Maintain robust long-term cash flow forecasting. Corporate Finance & Risk Manage banking relationships and funding structures. Oversee treasury and capital requirements. Lead insurance negotiations and risk management activities. Payroll Oversight Oversee payroll operations, ensuring compliance and accuracy. Ensure seamless integration between payroll and finance systems. IT Leadership Own and develop the IT strategy to support business growth. Oversee ERP, finance systems, and business intelligence capabilities. Ensure cybersecurity and data protection compliance. Leadership & Culture Lead, mentor, and develop high-performing Finance and IT teams. Promote accountability, professionalism, and continuous improvement. Contribute positively to company culture and values. About You Qualifications Degree educated or equivalent experience. Fully qualified accountant (ACA, ACCA, CIMA or equivalent). Experience Significant senior finance leadership experience. Essential: Experience within a high-volume, transaction-based manufacturing environment. Proven track record of leading financial and systems transformation. Experience operating at Board level. Personal Attributes Commercially astute and strategically minded. Strong communicator able to influence at Board and operational levels. High integrity with strong professional credibility. Hands-on approach with the ability to operate both strategically and operationally.
Associate, Commercial Property Management
Knight Frank Group Bristol, Gloucestershire
Associate, Commercial Property Management page is loaded Associate, Commercial Property Managementremote type: On Sitelocations: UK - Bristol - Assembly Buildingtime type: Full timeposted on: Posted Todayjob requisition id: JR100967 Who are we Founded in 1896, Knight Frank was registered as Knight Frank LLP a Limited Liability Partnership, on 3 November 2003, registered in England & Wales at 55 Baker Street, London, W1U 8AN with the registered number of OC305934. Headquartered in London, UK, Knight Frank is one of the world's leading independent real estate consultancies. We work responsibly in partnership to enhance people's lives and environments in over 50 Markets, 600+ Offices, 20,000+ People, 1 Global Network. At the heart of all we do are our Clients. A relationship built on trust is vital. As trusted partners in property, we act with integrity and care, understanding our clients' unique needs and consistently thinking about the bigger picture to provide personalised, clear and considered advice across all areas of property. Through our deep understanding of key markets and sectors - both emerging and established - we are dedicated to meeting and exceeding their property goals.A true partnership is a balanced one, and our People are passionate about, and committed to, making our business inclusive and diverse. We give every individual the space and opportunity to perform at their best and be recognised for the immense value they bring. We empower everyone to have autonomy in their role and encourage them to use their voice in how we can make a positive impact as a firm and shape the future of real estate, the built environment and the impact on the communities we serve. Our collaborative and engaged teams provide excellent and dedicated client service. In our workplace, opinions are respected, everyone is invited to contribute to the success of our business and innovation, and new ideas are celebrated.In 2021 we celebrated our 125th anniversary and set out Our Desired Future, cemented in three pillars: People Potential, Client Centricity and always Creating our Future, together. Learn more about what sets us apart . About The Role Knight Frank is the leading independent property consultancy in the UK, offering agency and professional advice across Commercial, Residential, and Rural sectors.Based in our Bristol office, the Property Asset Management department is looking to recruit an Associate to manage a regional portfolio.This is a senior role with direct portfolio responsibility and an expectation to contribute to business development activity to support portfolio growth. The successful candidate will work within a dynamic team managing a predominantly commercial portfolio.Responsibilities include contributing to client strategy, asset management, development, leasing, property management, and facilities management. The role is varied, and every day is different. What you will be responsible for Drive business development and contribute to portfolio growth. Deliver high-quality client reporting and specialist property management advice. Build and maintain strong relationships with prospective and existing clients to uphold the professional image of the Partnership. Provide proactive, hands-on asset and property management for a mixed-use regional portfolio. Take full responsibility for asset management advice, including lease events and value-enhancement opportunities. Liaise with client accountants to review rent-raising reports and ensure timely rent and service charge demands. Work with credit controllers to manage rent collection, arrears recovery, and payment plans. Prepare annual service charge budgets and reconciliations, and monitor expenditure in collaboration with building managers, FM teams, and client accountants. Instruct and liaise with building managers/FM and consultants on repairs, maintenance programmes, and refurbishment projects. Coordinate with insurance brokers for annual renewals and manage insurance claims. Build strong landlord-tenant relationships, acting as the main point of contact and conducting regular property inspections. Oversee tenant fit-out approvals and manage applications for alterations, subletting, assignments, and wayleaves in liaison with client solicitors. Execute lease transactions directly or oversee other departments/third-party advisers where necessary. Produce concise, high-quality reports and communicate effectively with clients both in writing and face-to-face. Proactively manage consultant and contractor relationships and collaborate with other Knight Frank departments (including cross-selling opportunities). Maintain a strong understanding of landlord and tenant matters and pursue property management opportunities. Apply knowledge of the RICS Professional Statement: Service Charges in Commercial Property to advise clients and colleagues. Perform other tasks delegated by Partners as required. What experience you will need Qualifications / Education Required Degree educated. MRICS Clean UK driving licence (essential). Career Experience Required Commercial Property Management experience (essential). Familiarity with property management software and systems. Experience working across a variety of asset classes. Aptitudes / Skills Required Strong analytical skills and proficiency in Excel. Collaborative team player with the ability to achieve and exceed goals. Highly motivated, able to manage multiple deadlines and priorities, and capable of directing others where appropriate. Entrepreneurial mindset with the ability to provide solutions and options in new situations. Excellent written communication skills for producing clear, concise, and accurate reports. Professional, proactive approach with strong client focus. High attention to detail, well-organised, and pragmatic with a common-sense approach.Competitive salaryPlease note: this is a Direct Search led by Knight Frank. Applications from recruitment agencies will not be accepted nor will fees be paid for unsolicited CVs, even if provided by PSL agencies.
Mar 12, 2026
Full time
Associate, Commercial Property Management page is loaded Associate, Commercial Property Managementremote type: On Sitelocations: UK - Bristol - Assembly Buildingtime type: Full timeposted on: Posted Todayjob requisition id: JR100967 Who are we Founded in 1896, Knight Frank was registered as Knight Frank LLP a Limited Liability Partnership, on 3 November 2003, registered in England & Wales at 55 Baker Street, London, W1U 8AN with the registered number of OC305934. Headquartered in London, UK, Knight Frank is one of the world's leading independent real estate consultancies. We work responsibly in partnership to enhance people's lives and environments in over 50 Markets, 600+ Offices, 20,000+ People, 1 Global Network. At the heart of all we do are our Clients. A relationship built on trust is vital. As trusted partners in property, we act with integrity and care, understanding our clients' unique needs and consistently thinking about the bigger picture to provide personalised, clear and considered advice across all areas of property. Through our deep understanding of key markets and sectors - both emerging and established - we are dedicated to meeting and exceeding their property goals.A true partnership is a balanced one, and our People are passionate about, and committed to, making our business inclusive and diverse. We give every individual the space and opportunity to perform at their best and be recognised for the immense value they bring. We empower everyone to have autonomy in their role and encourage them to use their voice in how we can make a positive impact as a firm and shape the future of real estate, the built environment and the impact on the communities we serve. Our collaborative and engaged teams provide excellent and dedicated client service. In our workplace, opinions are respected, everyone is invited to contribute to the success of our business and innovation, and new ideas are celebrated.In 2021 we celebrated our 125th anniversary and set out Our Desired Future, cemented in three pillars: People Potential, Client Centricity and always Creating our Future, together. Learn more about what sets us apart . About The Role Knight Frank is the leading independent property consultancy in the UK, offering agency and professional advice across Commercial, Residential, and Rural sectors.Based in our Bristol office, the Property Asset Management department is looking to recruit an Associate to manage a regional portfolio.This is a senior role with direct portfolio responsibility and an expectation to contribute to business development activity to support portfolio growth. The successful candidate will work within a dynamic team managing a predominantly commercial portfolio.Responsibilities include contributing to client strategy, asset management, development, leasing, property management, and facilities management. The role is varied, and every day is different. What you will be responsible for Drive business development and contribute to portfolio growth. Deliver high-quality client reporting and specialist property management advice. Build and maintain strong relationships with prospective and existing clients to uphold the professional image of the Partnership. Provide proactive, hands-on asset and property management for a mixed-use regional portfolio. Take full responsibility for asset management advice, including lease events and value-enhancement opportunities. Liaise with client accountants to review rent-raising reports and ensure timely rent and service charge demands. Work with credit controllers to manage rent collection, arrears recovery, and payment plans. Prepare annual service charge budgets and reconciliations, and monitor expenditure in collaboration with building managers, FM teams, and client accountants. Instruct and liaise with building managers/FM and consultants on repairs, maintenance programmes, and refurbishment projects. Coordinate with insurance brokers for annual renewals and manage insurance claims. Build strong landlord-tenant relationships, acting as the main point of contact and conducting regular property inspections. Oversee tenant fit-out approvals and manage applications for alterations, subletting, assignments, and wayleaves in liaison with client solicitors. Execute lease transactions directly or oversee other departments/third-party advisers where necessary. Produce concise, high-quality reports and communicate effectively with clients both in writing and face-to-face. Proactively manage consultant and contractor relationships and collaborate with other Knight Frank departments (including cross-selling opportunities). Maintain a strong understanding of landlord and tenant matters and pursue property management opportunities. Apply knowledge of the RICS Professional Statement: Service Charges in Commercial Property to advise clients and colleagues. Perform other tasks delegated by Partners as required. What experience you will need Qualifications / Education Required Degree educated. MRICS Clean UK driving licence (essential). Career Experience Required Commercial Property Management experience (essential). Familiarity with property management software and systems. Experience working across a variety of asset classes. Aptitudes / Skills Required Strong analytical skills and proficiency in Excel. Collaborative team player with the ability to achieve and exceed goals. Highly motivated, able to manage multiple deadlines and priorities, and capable of directing others where appropriate. Entrepreneurial mindset with the ability to provide solutions and options in new situations. Excellent written communication skills for producing clear, concise, and accurate reports. Professional, proactive approach with strong client focus. High attention to detail, well-organised, and pragmatic with a common-sense approach.Competitive salaryPlease note: this is a Direct Search led by Knight Frank. Applications from recruitment agencies will not be accepted nor will fees be paid for unsolicited CVs, even if provided by PSL agencies.
Michael Page Finance
Finance Manager
Michael Page Finance Coventry, Warwickshire
An exciting opportunity for a qualified Finance Manager to lead a high-performing team whilst partnering senior operational stakeholders in a complex, high-profile environment. Ideal for a second-time mover from practice or an outgoing industry accountant with proven people management experience seeking broader commercial exposure and progression. Client Details This is one of the UK's largest and most established groups within the sector, operating at significant national scale and delivering complex, high-profile projects within a regulated environment. The organisation is known for investing heavily in its people, offering structured development programmes, strong mentorship, and clear progression pathways across a sizeable and diverse finance function. With a collaborative leadership culture, long-term investment strategy, and an excellent track record of promoting from within, it combines the stability of a large corporate with genuine opportunity for ambitious individuals to accelerate their careers. Description You'll be a key finance leader partnering operational, commercial, and capital delivery stakeholders in a complex, fast-moving environment. With multi-million-pound budgets, high-profile investment programmes, and strong regulatory oversight, this role offers genuine strategic influence. You'll manage, develop, and inspire a team of qualified and part-qualified accountants while acting as a trusted advisor to senior operational leaders. Full ownership of monthly management reporting and performance analysis Business partnering with senior operational and commercial stakeholders Leading budgeting, forecasting, and long-term planning cycles Driving financial control, governance, and continuous improvement Managing and developing a high-performing finance team Supporting strategic investment cases and capital programmes Profile This role is ideally suited to: A second-time mover from practice (Top 10) ready for broader commercial exposure and team leadership. Ideally, you will have people management experience under your belt OR a commercially astute industry-qualified accountant seeking greater ownership and visibility, again with people management experience already Other requirements: Fully qualified accountant (ACA / ACCA / CIMA or equivalent) Proven people management experience - you must have led, developed, and performance-managed a team Strong stakeholder engagement skills with the confidence to challenge and influence Experience improving processes and being able to demonstrate this at interview Experience within a complex, fast-paced environment A proactive, visible leadership style Job Offer Competitive salary ranging from £60,000 to £65,000 per annum. Annual bonus Enhanced pension contribution from employer Opportunities for professional growth and development. Hybrid working (3 days in office, 2 at home)
Mar 12, 2026
Full time
An exciting opportunity for a qualified Finance Manager to lead a high-performing team whilst partnering senior operational stakeholders in a complex, high-profile environment. Ideal for a second-time mover from practice or an outgoing industry accountant with proven people management experience seeking broader commercial exposure and progression. Client Details This is one of the UK's largest and most established groups within the sector, operating at significant national scale and delivering complex, high-profile projects within a regulated environment. The organisation is known for investing heavily in its people, offering structured development programmes, strong mentorship, and clear progression pathways across a sizeable and diverse finance function. With a collaborative leadership culture, long-term investment strategy, and an excellent track record of promoting from within, it combines the stability of a large corporate with genuine opportunity for ambitious individuals to accelerate their careers. Description You'll be a key finance leader partnering operational, commercial, and capital delivery stakeholders in a complex, fast-moving environment. With multi-million-pound budgets, high-profile investment programmes, and strong regulatory oversight, this role offers genuine strategic influence. You'll manage, develop, and inspire a team of qualified and part-qualified accountants while acting as a trusted advisor to senior operational leaders. Full ownership of monthly management reporting and performance analysis Business partnering with senior operational and commercial stakeholders Leading budgeting, forecasting, and long-term planning cycles Driving financial control, governance, and continuous improvement Managing and developing a high-performing finance team Supporting strategic investment cases and capital programmes Profile This role is ideally suited to: A second-time mover from practice (Top 10) ready for broader commercial exposure and team leadership. Ideally, you will have people management experience under your belt OR a commercially astute industry-qualified accountant seeking greater ownership and visibility, again with people management experience already Other requirements: Fully qualified accountant (ACA / ACCA / CIMA or equivalent) Proven people management experience - you must have led, developed, and performance-managed a team Strong stakeholder engagement skills with the confidence to challenge and influence Experience improving processes and being able to demonstrate this at interview Experience within a complex, fast-paced environment A proactive, visible leadership style Job Offer Competitive salary ranging from £60,000 to £65,000 per annum. Annual bonus Enhanced pension contribution from employer Opportunities for professional growth and development. Hybrid working (3 days in office, 2 at home)
Handle Recruitment
Finance Business Partner - Publishing
Handle Recruitment
Finance Business Partner - Publishing World-renowned publishing house shaping culture, creativity, and ideas are seeking a qualified ACA, ACCA, CIMA Finance Business Partner of exceptional calibre to join a small but highly successful team, delivering strategic financial analysis and commercial insight that underpins their continued success. The Role As Finance Business Partner, you will play a pivotal role supporting the CEO, CFO, and wider Senior Management Group, providing incisive, high-quality financial analysis that informs strategic decisions, optimises investment, and drives performance across our creative and commercial portfolio. You will combine a deep understanding of finance with strong business acumen, acting as both a strategic advisor and hands-on practitioner able to operate seamlessly from boardroom to detail. Key Responsibilities: Partner closely with the CEO, CFO, and senior leaders to influence strategy, investment, and long-term planning. Lead all aspects of budgeting, forecasting, and financial performance insight to support growth and innovation. Deliver clear, commercially focused Board reporting, highlighting key drivers, risks, and opportunities. Drive pricing, profitability, and investment analysis through robust financial modelling and scenario planning. Develop meaningful KPIs and dashboards, aligning financial insight with strategic objectives. Act as a trusted challenger - balancing ambition with sound financial discipline. Take the lead as an advanced Oracle NetSuite superuser, building and optimising reporting tools for enhanced insight and efficiency. Leverage your expertise in royalty reporting and contractual interpretation, ensuring accuracy, transparency, and continuous improvement. Provide commercial tax analysis and support the annual audit process. Champion continuous improvement across systems, processes, and cross-functional initiatives. About You: You are a qualified accountant (CIMA, ACCA, ACA) with proven experience in commercial finance or business partnering roles at a senior level. You combine robust technical expertise with exceptional analytical and communication skills, possessing a natural ability to translate complex financial data into actionable business insight. You'll Bring: Significant experience influencing and partnering with senior business leaders. A strong grounding in budgeting, forecasting, and financial control, paired with a highly commercial mindset. Expertise in Oracle NetSuite - including the design of saved searches, reporting, and dashboards. A track record of delivering strategic insight and tangible outcomes in fast-paced, global environments. Advanced analytical skills, with proficiency in Excel, financial modelling, and scenario planning. Exceptional attention to detail, intellectual curiosity, and a collaborative approach. The Person A commercially astute, strategic thinker with a passion for creativity and culture. You inspire trust, communicate with clarity, and thrive in dynamic, high-performing environments. Above all, you bring energy, integrity, and a solutions-focused mindset to everything you do. This is a unique opportunity to join one of the world's most respected publishing houses - where financial excellence meets creative ambition. Apply now to embark on a role that combines commercial impact with cultural influence. Handle actively welcomes applicants from under-represented backgrounds - we pride ourselves on attracting the best talent for every opportunity through a commitment to equality, diversity and inclusion.
Mar 12, 2026
Full time
Finance Business Partner - Publishing World-renowned publishing house shaping culture, creativity, and ideas are seeking a qualified ACA, ACCA, CIMA Finance Business Partner of exceptional calibre to join a small but highly successful team, delivering strategic financial analysis and commercial insight that underpins their continued success. The Role As Finance Business Partner, you will play a pivotal role supporting the CEO, CFO, and wider Senior Management Group, providing incisive, high-quality financial analysis that informs strategic decisions, optimises investment, and drives performance across our creative and commercial portfolio. You will combine a deep understanding of finance with strong business acumen, acting as both a strategic advisor and hands-on practitioner able to operate seamlessly from boardroom to detail. Key Responsibilities: Partner closely with the CEO, CFO, and senior leaders to influence strategy, investment, and long-term planning. Lead all aspects of budgeting, forecasting, and financial performance insight to support growth and innovation. Deliver clear, commercially focused Board reporting, highlighting key drivers, risks, and opportunities. Drive pricing, profitability, and investment analysis through robust financial modelling and scenario planning. Develop meaningful KPIs and dashboards, aligning financial insight with strategic objectives. Act as a trusted challenger - balancing ambition with sound financial discipline. Take the lead as an advanced Oracle NetSuite superuser, building and optimising reporting tools for enhanced insight and efficiency. Leverage your expertise in royalty reporting and contractual interpretation, ensuring accuracy, transparency, and continuous improvement. Provide commercial tax analysis and support the annual audit process. Champion continuous improvement across systems, processes, and cross-functional initiatives. About You: You are a qualified accountant (CIMA, ACCA, ACA) with proven experience in commercial finance or business partnering roles at a senior level. You combine robust technical expertise with exceptional analytical and communication skills, possessing a natural ability to translate complex financial data into actionable business insight. You'll Bring: Significant experience influencing and partnering with senior business leaders. A strong grounding in budgeting, forecasting, and financial control, paired with a highly commercial mindset. Expertise in Oracle NetSuite - including the design of saved searches, reporting, and dashboards. A track record of delivering strategic insight and tangible outcomes in fast-paced, global environments. Advanced analytical skills, with proficiency in Excel, financial modelling, and scenario planning. Exceptional attention to detail, intellectual curiosity, and a collaborative approach. The Person A commercially astute, strategic thinker with a passion for creativity and culture. You inspire trust, communicate with clarity, and thrive in dynamic, high-performing environments. Above all, you bring energy, integrity, and a solutions-focused mindset to everything you do. This is a unique opportunity to join one of the world's most respected publishing houses - where financial excellence meets creative ambition. Apply now to embark on a role that combines commercial impact with cultural influence. Handle actively welcomes applicants from under-represented backgrounds - we pride ourselves on attracting the best talent for every opportunity through a commitment to equality, diversity and inclusion.
RecruitmentRevolution.com
Chief Financial Officer / CFO - 4-Day Week PE-Backed Martech SaaS
RecruitmentRevolution.com Leeds, Yorkshire
Gresham House Ventures have just backed us, and now we're ready to back you. We're scaling fast - £3M to £15M ARR, backed by serious capital and have a clear growth strategy. We see finance as a competitive advantage, not a control function. We understand achieving a 10x £150 Million exit in the future needs the right expertise to build enterprise value - not just report it - and before the real acceleration begins. Not only that, but we also know titles don't create wealth - equity and timing do, and for you to do your best work you'll need real ownership and a collaborative leadership team that's ready for you to lead with vigour and deliver your best work. If you're ready to be instrumental in this journey, actively shaping where we invest, how we grow, and how we position for maximum value at exit, we'd love to hear from you. We are Modo25 / ASK BOSCO. Ready for your next adventure? The Role at a Glance: CFO Chief Finance Officer Hybrid Working / Leeds HQ - At least a couple of days fortnightly plus board and key meetings £90,000 - £150,000 + Equity Plus Benefits: 4-day working week, 30 days annual leave incl bank holidays, health insurance, critical illness cover, life insurance, retail & leisure perks, electric car scheme Your Skills: Qualified - ACCA, ACA, CIMA. Hands-on Financial Leadership with Scaling Tech Co - expertise with a sale or significant funding round. Who we are: We're building a high-growth AI SaaS business alongside a profitable agency, and we're looking for a CFO who wants to help shape the story - and the exit. Modo25 is a digital marketing agency working with enterprise brands. ASK BOSCO is our AI-powered marketing analytics platform that predicts marketing ROI with 96% accuracy. Together, we're scaling from £3m to £15m over the next three years, backed by Gresham House Ventures, with a clear path to exit at a 10x revenue multiple. You will be instrumental in this journey. Your Expertise: You are a commercially astute, qualified accountant (ACA, ACCA, CIMA) (ideally Big-4 trained) with a proven track record of helping ambitious businesses scale at pace. Having spent several years inside a high-growth scale-up, you are fluent in SaaS metrics (ARR, churn, NRR, LTV:CAC) and comfortable operating in the complexity that comes with rapid expansion, funding rounds and exit-readiness. Based in, or excited to relocate to Leeds or happy to be onsite 2 days per week, you thrive working closely with a leadership team and shaping the future of a business from the inside. What truly sets you apart is your breadth of perspective: experience across SaaS and professional services, exposure to M&A, and a genuine commitment to building a business that balances performance with purpose through progressive ways of working and meaningful social impact. Why This Role Is Different You'll be joining a leadership team that genuinely wants finance at the heart of decision-making. The CEO and COO are ready to hand over the numbers to focus on growth, product, and market expansion. They're not looking for a gatekeeper. They're looking for a commercial partner who can: • Build reporting - real-time dashboards and MI to run the day-to-day business, as well as report at Board level • Navigate a hybrid model - agency retainers alongside SaaS subscriptions, each with different economics • Spot growth opportunities the rest of us haven't seen - you'll have access to data nobody else is interrogating • Prepare the business for exit - clean books, compelling story, data room ready, and a CFO who can hold their own in due diligence We've built today, for you to build tomorrow We're not perfect - and we're honest about that. Today, our finance function is a fractional CFO for half a day a week, a high-calibre new Finance Manager, and a COO who's been carrying more financial responsibility than she should. It works, but it's not built to scale. With funding in the bank, investors on hand and an ambitious scale target we need you at the helm - dedicated financial leadership building out robust processes, embedding best practice, and making proactive, insight-led decisions about what we should prioritise, invest in, and do next to support sustainable growth. You'll be managing two business models with different rhythms, different metrics, and different levers. If that sounds like a headache, this isn't for you. If it sounds like an interesting puzzle, let's talk. What We Offer • £90,000 - £150,000 base salary depending on experience • Equity - real ownership with meaningful upside if we hit our exit targets • Four-day working week - we believe in output over hours, and we've made it work • A seat at the table - you'll report directly to the CEO and work closely with the COO and Gresham House • An 'Outstanding Company to Work For 2024' - we take culture seriously The Process We're taking a considered, high-bar approach to this hire. Our interview process is intentionally rigorous because we're focused on attracting true A-players, and we're prepared to invest the time to find the right fit. You can expect a thorough, high-quality process that includes psychometric assessment and a commercial case study-designed to understand not just what you've achieved, but how you think and make decisions. Target start date: Ideally June 2026 Ready to make a move? If this sounds like the challenge you've been looking for, a true commercial partner role rather than just another finance position, we'd love to hear from you. No cover letter is required; simply share your CV along with a couple of sentences on what drew you to the opportunity. We're excited to meet you. Team Modo25 / ASK BOSCO Application notice We take your privacy seriously. As you might expect you may be contacted by email, text or telephone. Your data is processed by our talent partner RR (Recruitment Revolution) on the basis of their legitimate interests in fulfilling the recruitment process. Please refer to their Data Privacy Policy & Notice on their website for further details.
Mar 12, 2026
Full time
Gresham House Ventures have just backed us, and now we're ready to back you. We're scaling fast - £3M to £15M ARR, backed by serious capital and have a clear growth strategy. We see finance as a competitive advantage, not a control function. We understand achieving a 10x £150 Million exit in the future needs the right expertise to build enterprise value - not just report it - and before the real acceleration begins. Not only that, but we also know titles don't create wealth - equity and timing do, and for you to do your best work you'll need real ownership and a collaborative leadership team that's ready for you to lead with vigour and deliver your best work. If you're ready to be instrumental in this journey, actively shaping where we invest, how we grow, and how we position for maximum value at exit, we'd love to hear from you. We are Modo25 / ASK BOSCO. Ready for your next adventure? The Role at a Glance: CFO Chief Finance Officer Hybrid Working / Leeds HQ - At least a couple of days fortnightly plus board and key meetings £90,000 - £150,000 + Equity Plus Benefits: 4-day working week, 30 days annual leave incl bank holidays, health insurance, critical illness cover, life insurance, retail & leisure perks, electric car scheme Your Skills: Qualified - ACCA, ACA, CIMA. Hands-on Financial Leadership with Scaling Tech Co - expertise with a sale or significant funding round. Who we are: We're building a high-growth AI SaaS business alongside a profitable agency, and we're looking for a CFO who wants to help shape the story - and the exit. Modo25 is a digital marketing agency working with enterprise brands. ASK BOSCO is our AI-powered marketing analytics platform that predicts marketing ROI with 96% accuracy. Together, we're scaling from £3m to £15m over the next three years, backed by Gresham House Ventures, with a clear path to exit at a 10x revenue multiple. You will be instrumental in this journey. Your Expertise: You are a commercially astute, qualified accountant (ACA, ACCA, CIMA) (ideally Big-4 trained) with a proven track record of helping ambitious businesses scale at pace. Having spent several years inside a high-growth scale-up, you are fluent in SaaS metrics (ARR, churn, NRR, LTV:CAC) and comfortable operating in the complexity that comes with rapid expansion, funding rounds and exit-readiness. Based in, or excited to relocate to Leeds or happy to be onsite 2 days per week, you thrive working closely with a leadership team and shaping the future of a business from the inside. What truly sets you apart is your breadth of perspective: experience across SaaS and professional services, exposure to M&A, and a genuine commitment to building a business that balances performance with purpose through progressive ways of working and meaningful social impact. Why This Role Is Different You'll be joining a leadership team that genuinely wants finance at the heart of decision-making. The CEO and COO are ready to hand over the numbers to focus on growth, product, and market expansion. They're not looking for a gatekeeper. They're looking for a commercial partner who can: • Build reporting - real-time dashboards and MI to run the day-to-day business, as well as report at Board level • Navigate a hybrid model - agency retainers alongside SaaS subscriptions, each with different economics • Spot growth opportunities the rest of us haven't seen - you'll have access to data nobody else is interrogating • Prepare the business for exit - clean books, compelling story, data room ready, and a CFO who can hold their own in due diligence We've built today, for you to build tomorrow We're not perfect - and we're honest about that. Today, our finance function is a fractional CFO for half a day a week, a high-calibre new Finance Manager, and a COO who's been carrying more financial responsibility than she should. It works, but it's not built to scale. With funding in the bank, investors on hand and an ambitious scale target we need you at the helm - dedicated financial leadership building out robust processes, embedding best practice, and making proactive, insight-led decisions about what we should prioritise, invest in, and do next to support sustainable growth. You'll be managing two business models with different rhythms, different metrics, and different levers. If that sounds like a headache, this isn't for you. If it sounds like an interesting puzzle, let's talk. What We Offer • £90,000 - £150,000 base salary depending on experience • Equity - real ownership with meaningful upside if we hit our exit targets • Four-day working week - we believe in output over hours, and we've made it work • A seat at the table - you'll report directly to the CEO and work closely with the COO and Gresham House • An 'Outstanding Company to Work For 2024' - we take culture seriously The Process We're taking a considered, high-bar approach to this hire. Our interview process is intentionally rigorous because we're focused on attracting true A-players, and we're prepared to invest the time to find the right fit. You can expect a thorough, high-quality process that includes psychometric assessment and a commercial case study-designed to understand not just what you've achieved, but how you think and make decisions. Target start date: Ideally June 2026 Ready to make a move? If this sounds like the challenge you've been looking for, a true commercial partner role rather than just another finance position, we'd love to hear from you. No cover letter is required; simply share your CV along with a couple of sentences on what drew you to the opportunity. We're excited to meet you. Team Modo25 / ASK BOSCO Application notice We take your privacy seriously. As you might expect you may be contacted by email, text or telephone. Your data is processed by our talent partner RR (Recruitment Revolution) on the basis of their legitimate interests in fulfilling the recruitment process. Please refer to their Data Privacy Policy & Notice on their website for further details.

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