- Financial Reporting & Group Consolidation – Own P&L, balance sheets, and intercompany reconciliations.
- Cash Flow & Budgeting – Lead forecasting to drive business decisions.
- Audit & Compliance – Manage year-end audit, IFRS & UK GAAP reporting.
- Banking & Liquidity Management – Monitor and optimise group cash flow.
- Finance Transformation & Projects – Improve financial processes and systems.
- Internal Controls & Compliance – Work on risk management & support audit process.
- Qualified Accountant (ACCA, ACA, or CIMA).
- Experience in group finance, consolidation, and multi-entity reporting.
- Strong analytical and problem-solving skills – able to challenge financial data and make recommendations.
- Ability to build relationships with senior leadership and cross-functional teams.
- Experience with financial systems like SAGE 200 or similar.
- Experience with Financial Planning & Analysis (FP&A) or Corporate Performance Management (CPM)
- A strong business with exciting projects.
- A highly visible role with senior leadership exposure.
- Competitive salary, strong benefits
- Hybrid working options