- Deliver accurate and timely financial and non-financial reports to the Board and PE stakeholders.
- Oversee monthly group consolidated accounts, providing insights on balance sheets and cash flow.
- Collaborate with the Senior Management Team on the annual budgeting process.
- Manage statutory accounts and tax returns in partnership with auditors.
- Prepare cash flow forecasts, oversee cash management, and support funding requirements.
- Lead process and system improvements for enhanced reporting.
- Act as the go-to technical finance expert for internal controls and queries.
- Qualified ACA / CIMA / ACCA
- Strong financial reporting experience in a commercial setting.
- Experience working in positions such as Financial Reporting Manager / Group Financial Controller / Group Reporting Manager / Group Finance Manager / Corporate Reporting Manager
- Technically strong in financial reporting with srong business partnering skills
- Ideally exposure to PE-backed environments.
- Strong Excel skills; experience with Power BI would be a plus but not essential.
- Hybrid working (3 days home / 2 office)
- 7.5% performance-related bonus.
- 5% pension contribution.
- 26 days of holiday.
- Health care cash plan and private medical cover.
- Free parking.