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Finance Director

SF Recruitment
Posted 17 hours ago, valid for 10 days
Location

Loughborough, Leicestershire LE127, England

Salary

£80,000 - £100,000 per annum

Contract type

Full Time

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Sonic Summary

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  • SF Executive is seeking a Finance Director for a private equity backed manufacturing business in Leicestershire.
  • The ideal candidate should possess both technical and commercial acumen, with a strong emphasis on leadership and team development.
  • Key responsibilities include managing the management accounts function, developing KPIs, and presenting financial results to investors and the board.
  • The role requires a minimum of 5 years of experience in a similar position, with a competitive salary offered based on experience.
  • This position offers a unique opportunity to contribute to a well-established organization during a critical phase of change and growth.

SF Executive is partnered with a private equity backed, SME, manufacturing business based in Leicestershire. Our client is seeking a Finance Director to lead the finance function and be a true advisor to the CEO.

Our client requires a Finance Director who is both technically and commercially astute. In this role you will be responsible for but not limited to the following:

- Managing and development of the management account's function, driving a culture of continuous improvement
- To provide strong leadership and direction to the finance team. To ensure clarity of roles, key deliverables, and personal objectives
- Developing and maintaining KPIs linked to business strategy and reporting both Financial and Operational KPIs at a board level
- Completing the monthly reporting and preparation of Management accounts within set timelines
- Completing and reviewing balance sheet reconciliation and ensuring all post month end actions are completed in a timely manner
- Presenting financial results to PE investors and the board whilst supporting the CEO and deputising when required
- Monitoring and development of the financial and operational control environment, ensuring that minimum control standards, documentation and systems are in place
- Delivering consolidated working capital, cash flow and balance sheet forecasting and reporting
- Develop strong relationships with colleagues to enable an effective business partnering process
- Support non-financial individuals providing insight and financial information to drive improvement in operation and financial performance
- To take the lead in liaising with the companies' external auditors and other advisers (Tax & Legal) and to ensure financial statements are signed-off within the required reporting deadlines
- Management of day-to-day treasury function
- Preparation and submission of VAT / P11d returns

This is a unique opportunity to join a well-established organisation at a pivotal stage of its change and growth. This role is predominantly site based with an adult approach to flexibility.

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