Investigo are partnering with a dynamic, PE-backed technology company that is currently going through really exciting expansion. Following the acquisition of several smaller brands, the business is poised for continued growth throughout 2025. To support this exciting phase of growth, they're seeking an experienced Senior Group Finance Manager to join their finance team and lead a talented team of part-qualified accountants, and report directly to the Finance Director.
Location: Old Street, City of London (x2 days in the office x3 working from home)
Salary: £75,000 - £80,000 per annum
Notice Period: Requires candidate available ASAP or 1 months notice max.
Job Description:
The ideal candidate will be responsible for managing and improving our financial processes, overseeing budgets, forecasts, and financial
- Financial Reporting: Prepare monthly, quarterly, and annual financial reports, ensuring they reflect accurate and comprehensive financial performance. Present key financial data to management, highlighting important trends, insights, and providing actionable recommendations for improvements.
- Group Consolidation: Prepare monthly group consolidations, including detailed analysis of financial results across various departments and entities. Ensure accurate consolidation in line with accounting policies and reporting requirements.Forecasting & Budgeting: Deliver consolidated forecast and budget information for various departments, working closely with department heads to ensure alignment with overall business objectives and financial targets.
- Revenue Recognition & Accounts Management: Manage the timely and accurate processing of payroll, accounts payable, and related reconciliations. Ensure that revenue recognition is handled in accordance with accounting standards and contractual terms.
- Cash Flow Management: Oversee cash flow planning, forecasting, and funding requirements, ensuring there are sufficient funds available to meet operational needs. Regularly assess cash flow projections and provide recommendations to optimise liquidity.
- Compliance & Internal Controls: Ensure the business complies with all relevant financial regulations and accounting standards. Implement and maintain robust internal controls to safeguard financial integrity and mitigate risks.
Skills and Personal Attributes:
- Qualified Accountant (ACA, ACCA, CIMA or equivalent)
- Strong experience in group consolidation, and cash flow management.
- Proven management experience, managing a team of variety of experience, locations and cultures
- Strong analytical and problem-solving skills, with a keen attention to detail.
- Excellent communication skills, with the ability to present complex financial data clearly to non-financial stakeholders.
- Ability to manage multiple priorities and work effectively under pressure in a dynamic environment
Apply online or send your CV directly to Gemma Case