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Marc Daniels
Finance Manager - Hotel
Marc Daniels
Marc Daniels is recruiting for an experienced Finance Manager - Hotel to join a leading hospitality business. This role requires a fully qualified accountant with strong hotel experience and a working understanding of USALI, alongside the commercial and technical skills needed to support a busy hotel operation. Role Purpose The Finance Manager - Hotel will oversee the hotel's finance function, ensuring accurate reporting, strong financial controls, and effective business partnering with operational teams. You will play a key role in delivering timely management information, supporting commercial decisions, and maintaining reporting standards aligned to hospitality best practice, including USALI Key Responsibilities Lead month-end close, management accounts, balance sheet reconciliations, and variance analysis Prepare daily, weekly, monthly, and annual financial reporting for hotel management and owners Oversee AP, AR, income audit, payroll, cash management, and bank reconciliations Support budgeting, forecasting, and reforecasting processes, including revenue and cost analysis. Partner with operational leaders to improve financial performance, cost control, and decision-making Maintain strong internal controls, compliance, and audit readiness. Review inventory, purchasing, and cost controls across departments, particularly F&B and other hotel revenue streams. Ensure reporting is structured in line with USALI principles and hotel industry standards Candidate Profile Fully qualified accountant: ACA, ACCA, or CIMA essential. Previous experience in a Finance Manager, Financial Controller, or Senior Management Accountant role within a hotel or hospitality environment. Strong understanding of hotel accounting, including income audit, payroll, AP/AR, and month-end processes. Working knowledge of USALI and hotel reporting structures is essential Experience preparing management accounts, budgets, forecasts, and board-level reporting Confident user of Excel and hotel/ERP systems such as NetSuite, PMS, or similar. Strong communication and stakeholder management skills, with the ability to work closely with non-finance teams.
Jul 14, 2026
Full time
Marc Daniels is recruiting for an experienced Finance Manager - Hotel to join a leading hospitality business. This role requires a fully qualified accountant with strong hotel experience and a working understanding of USALI, alongside the commercial and technical skills needed to support a busy hotel operation. Role Purpose The Finance Manager - Hotel will oversee the hotel's finance function, ensuring accurate reporting, strong financial controls, and effective business partnering with operational teams. You will play a key role in delivering timely management information, supporting commercial decisions, and maintaining reporting standards aligned to hospitality best practice, including USALI Key Responsibilities Lead month-end close, management accounts, balance sheet reconciliations, and variance analysis Prepare daily, weekly, monthly, and annual financial reporting for hotel management and owners Oversee AP, AR, income audit, payroll, cash management, and bank reconciliations Support budgeting, forecasting, and reforecasting processes, including revenue and cost analysis. Partner with operational leaders to improve financial performance, cost control, and decision-making Maintain strong internal controls, compliance, and audit readiness. Review inventory, purchasing, and cost controls across departments, particularly F&B and other hotel revenue streams. Ensure reporting is structured in line with USALI principles and hotel industry standards Candidate Profile Fully qualified accountant: ACA, ACCA, or CIMA essential. Previous experience in a Finance Manager, Financial Controller, or Senior Management Accountant role within a hotel or hospitality environment. Strong understanding of hotel accounting, including income audit, payroll, AP/AR, and month-end processes. Working knowledge of USALI and hotel reporting structures is essential Experience preparing management accounts, budgets, forecasts, and board-level reporting Confident user of Excel and hotel/ERP systems such as NetSuite, PMS, or similar. Strong communication and stakeholder management skills, with the ability to work closely with non-finance teams.
Beam Recruit
Credit Controller
Beam Recruit
Credit Controller £28,000 £32,000 Bolton 40 hours per week Competitive Benefits Join a Stable, High-Growth Business with Big Plans for 2026 and Beyond This is a fantastic opportunity to become part of a thriving, forward-thinking business with a strong reputation for innovation. With exciting expansion plans set well into 2026 and beyond, this organisation offers the rare combination of stability and rapid growth making it an ideal move for someone eager to build a long-term career. You be joining an award-winning entrepreneurial SME based in Manchester, known for investing This hire forms part of the business's continued growth, offering a brilliant opportunity for an experienced Credit Controller who is excited by the prospect of joining a company on an impressive upward trajectory. The Role Reporting into a supportive and collaborative Finance Team, you will take ownership of your own credit control ledger, ensuring effective management of customer accounts and cash flow. This is a key role within the business, ideal for someone who enjoys building relationships while maintaining strong financial controls. Key Responsibilities Include: Setting up new customer accounts, ensuring all documentation is accurate and complete Carrying out credit checks Setting and reviewing credit limits, escalating concerns where necessary Managing and maintaining the sales ledger Posting and allocating incoming payments accurately Investigating and resolving unallocated cash and account discrepancies Proactively chasing outstanding debt via phone, email, and written communication Building strong relationships with customers to ensure timely payments Monitoring aged debt and taking ownership of overdue balances Working closely with internal teams to resolve invoicing or query issues Producing regular reports on debtor performance and highlighting risks About You Proven experience in a Credit Control role Strong understanding of sales ledger processes and cash allocation Confident communicator, comfortable chasing debt and building relationships Ability to prioritise workload and work to deadlines Good working knowledge of Excel and finance systems About Beam Recruit Beam Recruit are a specialist consultancy based in Liverpool, supporting recruitment across the Northwest. A Note from Us We receive a high volume of applications, so while we try our best, we re unable to provide individual feedback in every instance. If your application is successful, we ll be in touch within 5 working days.
Jul 14, 2026
Full time
Credit Controller £28,000 £32,000 Bolton 40 hours per week Competitive Benefits Join a Stable, High-Growth Business with Big Plans for 2026 and Beyond This is a fantastic opportunity to become part of a thriving, forward-thinking business with a strong reputation for innovation. With exciting expansion plans set well into 2026 and beyond, this organisation offers the rare combination of stability and rapid growth making it an ideal move for someone eager to build a long-term career. You be joining an award-winning entrepreneurial SME based in Manchester, known for investing This hire forms part of the business's continued growth, offering a brilliant opportunity for an experienced Credit Controller who is excited by the prospect of joining a company on an impressive upward trajectory. The Role Reporting into a supportive and collaborative Finance Team, you will take ownership of your own credit control ledger, ensuring effective management of customer accounts and cash flow. This is a key role within the business, ideal for someone who enjoys building relationships while maintaining strong financial controls. Key Responsibilities Include: Setting up new customer accounts, ensuring all documentation is accurate and complete Carrying out credit checks Setting and reviewing credit limits, escalating concerns where necessary Managing and maintaining the sales ledger Posting and allocating incoming payments accurately Investigating and resolving unallocated cash and account discrepancies Proactively chasing outstanding debt via phone, email, and written communication Building strong relationships with customers to ensure timely payments Monitoring aged debt and taking ownership of overdue balances Working closely with internal teams to resolve invoicing or query issues Producing regular reports on debtor performance and highlighting risks About You Proven experience in a Credit Control role Strong understanding of sales ledger processes and cash allocation Confident communicator, comfortable chasing debt and building relationships Ability to prioritise workload and work to deadlines Good working knowledge of Excel and finance systems About Beam Recruit Beam Recruit are a specialist consultancy based in Liverpool, supporting recruitment across the Northwest. A Note from Us We receive a high volume of applications, so while we try our best, we re unable to provide individual feedback in every instance. If your application is successful, we ll be in touch within 5 working days.
SF Partners
Financial Controller
SF Partners City, Derby
Financial Controller North Derby - Hybrid (3 Days in & 2 days out) Full Time, Permanent £75,000 SF Partners are working on an exclusive basis with a growing business in Derby. Our client is seeking an experienced Financial Controller to lead finance operations within a growing multi-site business. This role will oversee financial reporting, controls, compliance, budgeting, forecasting, and team leadership while providing commercial insight to support strategic decision-making. Financial Leadership - Lead, mentor, and develop the finance team. - Establish clear objectives, performance standards, and best practices. - Maintain finance policies, procedures, and controls. - Drive a culture of continuous improvement and accountability. Financial Control & Accounting - Oversee day-to-day financial accounting and reporting activities. - Ensure timely completion of month-end and year-end close processes. - Review balance sheet reconciliations, cash management, and fixed asset accounting. - Maintain strong internal controls and compliance with accounting standards. Reporting & Commercial Analysis - Produce management accounts and financial reporting packs. - Deliver cash flow forecasting, CAPEX reporting, KPI reporting, and profitability analysis. - Provide commercial insights, financial modelling, and decision support to business leaders. - Identify trends, risks, opportunities, and performance improvement initiatives. Budgeting & Forecasting - Lead annual budgeting and forecasting processes. - Develop rolling forecasts and scenario planning models. - Monitor performance against budgets and support strategic planning. - Analyse variances and recommend actions to improve business performance. Audit & Compliance - Manage external audits and statutory reporting requirements. - Oversee tax and regulatory submissions. - Ensure compliance with financial regulations, accounting standards, and internal policies. Skills & Experience: - Qualified accountant (ACA, ACCA, CIMA, or equivalent). - Significant experience in a Financial Controller, Senior Finance Manager, or similar leadership role. - Strong technical accounting and financial reporting knowledge. - Proven experience managing budgeting, forecasting, audits, and statutory reporting. - Experience leading and developing finance teams. - Advanced Excel and financial modelling skills. - Experience within a multi-site or operationally complex business.
Jul 14, 2026
Full time
Financial Controller North Derby - Hybrid (3 Days in & 2 days out) Full Time, Permanent £75,000 SF Partners are working on an exclusive basis with a growing business in Derby. Our client is seeking an experienced Financial Controller to lead finance operations within a growing multi-site business. This role will oversee financial reporting, controls, compliance, budgeting, forecasting, and team leadership while providing commercial insight to support strategic decision-making. Financial Leadership - Lead, mentor, and develop the finance team. - Establish clear objectives, performance standards, and best practices. - Maintain finance policies, procedures, and controls. - Drive a culture of continuous improvement and accountability. Financial Control & Accounting - Oversee day-to-day financial accounting and reporting activities. - Ensure timely completion of month-end and year-end close processes. - Review balance sheet reconciliations, cash management, and fixed asset accounting. - Maintain strong internal controls and compliance with accounting standards. Reporting & Commercial Analysis - Produce management accounts and financial reporting packs. - Deliver cash flow forecasting, CAPEX reporting, KPI reporting, and profitability analysis. - Provide commercial insights, financial modelling, and decision support to business leaders. - Identify trends, risks, opportunities, and performance improvement initiatives. Budgeting & Forecasting - Lead annual budgeting and forecasting processes. - Develop rolling forecasts and scenario planning models. - Monitor performance against budgets and support strategic planning. - Analyse variances and recommend actions to improve business performance. Audit & Compliance - Manage external audits and statutory reporting requirements. - Oversee tax and regulatory submissions. - Ensure compliance with financial regulations, accounting standards, and internal policies. Skills & Experience: - Qualified accountant (ACA, ACCA, CIMA, or equivalent). - Significant experience in a Financial Controller, Senior Finance Manager, or similar leadership role. - Strong technical accounting and financial reporting knowledge. - Proven experience managing budgeting, forecasting, audits, and statutory reporting. - Experience leading and developing finance teams. - Advanced Excel and financial modelling skills. - Experience within a multi-site or operationally complex business.
Jackson Hogg Ltd
Financial Accountant
Jackson Hogg Ltd Crook, County Durham
Financial Accountant Crook Competitive Package A superb opportunity has arisen for a newly qualified Financial Accountant to join an exciting business who are long established and respected. Reporting into the Financial Controller, this role will suit a commercially minded Financial Accountant to join the small finance team. You will deliver accurate financial reporting within the group reporting framework, ensuring compliance and supporting business decision making. You will be responsible for: Preparing monthly management accounts, including variance analysis and commentary. Oversight of key control account reconciliations and prepayments, accruals and journal postings. Preparing quarterly VAT returns. Involvement in customs processes, export license reporting and export letters of credit. Support in the preparation of group consolidation processes. Involvement in annual budget preparation and monthly forecasting. Review of product profitability and inventory costing. Liaising with operational teams across the manufacturing sites to provide financial insight. Continuous improvement of financial processes, systems, and reporting. Assisting with audit processes (internal and external). As the ideal candidate you will be/have: Qualified Accountant (ACA/ACCA/CIMA) Strong understanding of management accounting. Experienced with prepayments, accruals, and month-end processes. Understanding of internal controls. Strong Excel and finance systems. Strong attention to detail and ability to work to deadlines. NB: This role is fully on site.
Jul 14, 2026
Full time
Financial Accountant Crook Competitive Package A superb opportunity has arisen for a newly qualified Financial Accountant to join an exciting business who are long established and respected. Reporting into the Financial Controller, this role will suit a commercially minded Financial Accountant to join the small finance team. You will deliver accurate financial reporting within the group reporting framework, ensuring compliance and supporting business decision making. You will be responsible for: Preparing monthly management accounts, including variance analysis and commentary. Oversight of key control account reconciliations and prepayments, accruals and journal postings. Preparing quarterly VAT returns. Involvement in customs processes, export license reporting and export letters of credit. Support in the preparation of group consolidation processes. Involvement in annual budget preparation and monthly forecasting. Review of product profitability and inventory costing. Liaising with operational teams across the manufacturing sites to provide financial insight. Continuous improvement of financial processes, systems, and reporting. Assisting with audit processes (internal and external). As the ideal candidate you will be/have: Qualified Accountant (ACA/ACCA/CIMA) Strong understanding of management accounting. Experienced with prepayments, accruals, and month-end processes. Understanding of internal controls. Strong Excel and finance systems. Strong attention to detail and ability to work to deadlines. NB: This role is fully on site.
Paypoint
Group Tax Manager
Paypoint Welwyn Garden City, Hertfordshire
Part-Time Group Tax Manager Location: Welwyn Garden City Salary: Competitive Hours: Part-time, around three days per week, flexible hybrid working with 1-2 days in the office Contract: Permanent We're looking for an experienced Group Tax Manager to join our Finance team and lead on UK tax matters across the Group, including corporation tax, VAT, R&D, employment tax, governance and HMRC engagement. The Role Leading UK corporation tax and VAT compliance Advising on tax implications for new products and business activity Supporting R&D, employment tax, HMRC enquiries and tax governance Partnering with Finance and senior stakeholders on tax disclosures, improvements and projects What We're Looking For CTA, ACA or ACCA qualification Strong UK corporate tax and VAT experience Confidence working with HMRC, Finance teams and senior stakeholders A proactive, practical and collaborative approach You may have experience in the following: Tax Manager, Group Tax Manager, Corporate Tax Manager, Head of Tax, Tax Compliance Manager, Indirect Tax Manager, VAT Manager, Tax Advisor, Senior Tax Accountant, Financial Controller (Tax), Tax and Treasury Manager, R&D Tax Specialist, etc.REF-
Jul 14, 2026
Full time
Part-Time Group Tax Manager Location: Welwyn Garden City Salary: Competitive Hours: Part-time, around three days per week, flexible hybrid working with 1-2 days in the office Contract: Permanent We're looking for an experienced Group Tax Manager to join our Finance team and lead on UK tax matters across the Group, including corporation tax, VAT, R&D, employment tax, governance and HMRC engagement. The Role Leading UK corporation tax and VAT compliance Advising on tax implications for new products and business activity Supporting R&D, employment tax, HMRC enquiries and tax governance Partnering with Finance and senior stakeholders on tax disclosures, improvements and projects What We're Looking For CTA, ACA or ACCA qualification Strong UK corporate tax and VAT experience Confidence working with HMRC, Finance teams and senior stakeholders A proactive, practical and collaborative approach You may have experience in the following: Tax Manager, Group Tax Manager, Corporate Tax Manager, Head of Tax, Tax Compliance Manager, Indirect Tax Manager, VAT Manager, Tax Advisor, Senior Tax Accountant, Financial Controller (Tax), Tax and Treasury Manager, R&D Tax Specialist, etc.REF-
Dickson O'Brien
Financial Controller
Dickson O'Brien City, Manchester
Financial Controller Greater Manchester FMCG Private Equity Backed Business A fast-paced, private equity-backed FMCG business based in the Greater Manchester area is seeking an ambitious and commercially focused Financial Controller to play a key role in transforming the finance function into a best-in-class operation. This is an outstanding opportunity for a technically strong finance professional who thrives in a dynamic environment and enjoys partnering with stakeholders across the wider business. The successful candidate will demonstrate strong leadership capability, excellent communication skills, and a proactive approach to continuous improvement. Key Responsibilities: • Ownership of accurate and timely consolidated management accounts • Production and continuous development of the monthly Board Pack • Monthly group and lender reporting • Preparation of statutory accounts and liaison with external auditors • Royalty reporting and lender covenant reporting • Providing insightful commentary and analysis for senior leadership • Working closely with operational teams to improve processes and controls • Supporting the ongoing development of finance systems and reporting capabilities The Ideal Candidate Will Have: • Previous experience within FMCG, manufacturing, or stock-led environments • Strong understanding of POP, SOP, and stock systems and their integration with accounting systems • Excellent report writing and analytical skills • The confidence and gravitas to engage with senior management, lenders, and external stakeholders • A continuous improvement mindset with the ability to drive change in a fast-moving business This is a fantastic opportunity to join a growing business at an exciting stage of its journey, offering genuine scope for progression and impact. This is a retained role with our agency
Jul 14, 2026
Full time
Financial Controller Greater Manchester FMCG Private Equity Backed Business A fast-paced, private equity-backed FMCG business based in the Greater Manchester area is seeking an ambitious and commercially focused Financial Controller to play a key role in transforming the finance function into a best-in-class operation. This is an outstanding opportunity for a technically strong finance professional who thrives in a dynamic environment and enjoys partnering with stakeholders across the wider business. The successful candidate will demonstrate strong leadership capability, excellent communication skills, and a proactive approach to continuous improvement. Key Responsibilities: • Ownership of accurate and timely consolidated management accounts • Production and continuous development of the monthly Board Pack • Monthly group and lender reporting • Preparation of statutory accounts and liaison with external auditors • Royalty reporting and lender covenant reporting • Providing insightful commentary and analysis for senior leadership • Working closely with operational teams to improve processes and controls • Supporting the ongoing development of finance systems and reporting capabilities The Ideal Candidate Will Have: • Previous experience within FMCG, manufacturing, or stock-led environments • Strong understanding of POP, SOP, and stock systems and their integration with accounting systems • Excellent report writing and analytical skills • The confidence and gravitas to engage with senior management, lenders, and external stakeholders • A continuous improvement mindset with the ability to drive change in a fast-moving business This is a fantastic opportunity to join a growing business at an exciting stage of its journey, offering genuine scope for progression and impact. This is a retained role with our agency
Beyond Talent Solutions Limited
Interim Financial Controller
Beyond Talent Solutions Limited Wakefield, Yorkshire
Beyond Talent is supporting a well-established, multi-entity business in the appointment of an Interim Financial Controller . This is a key leadership role within the finance function, with a strong emphasis on taking ownership of statutory accounts and leading both UK and US audit processes . The successful candidate will work closely with senior stakeholders across the UK and internationally, ensuring robust reporting, compliance, and audit readiness. This position will suit an experienced interim professional who is comfortable stepping into a business, quickly adding value, and leading on complex reporting and audit requirements. You will take the lead on: End-to-end statutory accounts preparation and delivery , ensuring accuracy and compliance with UK GAAP Primary ownership of audit processes , acting as the key point of contact for external auditors across both UK and US requirements Coordinating group reporting and alignment with international finance teams, including collaboration with US stakeholders Ensuring timely and accurate financial reporting across monthly, quarterly, and annual cycles Strengthening financial controls, improving processes, and ensuring audit readiness at all times Alongside this, you will support broader finance leadership activity - partnering with senior stakeholders, providing insight, and helping to drive improvements across the function. We're looking for someone who can confidently take the lead in a hands-on interim role. You'll likely be: A qualified accountant (ACA / ACCA / CIMA) , or highly experienced in a similar capacity Proven at managing statutory accounts and leading external audits Experienced working across UK GAAP, with exposure to US GAAP or international reporting frameworks Comfortable operating in a fast-paced, changing environment , with the ability to hit the ground running A strong communicator, able to manage relationships with auditors, senior stakeholders, and international teams Why consider this role? Opportunity to take full ownership of critical reporting and audit deliverables Exposure to an international finance environment A genuinely hands-on interim assignment where you can make a visible impact quickly If you're an experienced interim finance leader looking for your next assignment, or you'd like a confidential conversation, please get in touch.
Jul 14, 2026
Contractor
Beyond Talent is supporting a well-established, multi-entity business in the appointment of an Interim Financial Controller . This is a key leadership role within the finance function, with a strong emphasis on taking ownership of statutory accounts and leading both UK and US audit processes . The successful candidate will work closely with senior stakeholders across the UK and internationally, ensuring robust reporting, compliance, and audit readiness. This position will suit an experienced interim professional who is comfortable stepping into a business, quickly adding value, and leading on complex reporting and audit requirements. You will take the lead on: End-to-end statutory accounts preparation and delivery , ensuring accuracy and compliance with UK GAAP Primary ownership of audit processes , acting as the key point of contact for external auditors across both UK and US requirements Coordinating group reporting and alignment with international finance teams, including collaboration with US stakeholders Ensuring timely and accurate financial reporting across monthly, quarterly, and annual cycles Strengthening financial controls, improving processes, and ensuring audit readiness at all times Alongside this, you will support broader finance leadership activity - partnering with senior stakeholders, providing insight, and helping to drive improvements across the function. We're looking for someone who can confidently take the lead in a hands-on interim role. You'll likely be: A qualified accountant (ACA / ACCA / CIMA) , or highly experienced in a similar capacity Proven at managing statutory accounts and leading external audits Experienced working across UK GAAP, with exposure to US GAAP or international reporting frameworks Comfortable operating in a fast-paced, changing environment , with the ability to hit the ground running A strong communicator, able to manage relationships with auditors, senior stakeholders, and international teams Why consider this role? Opportunity to take full ownership of critical reporting and audit deliverables Exposure to an international finance environment A genuinely hands-on interim assignment where you can make a visible impact quickly If you're an experienced interim finance leader looking for your next assignment, or you'd like a confidential conversation, please get in touch.
Hays Specialist Recruitment Limited
Financial Controller
Hays Specialist Recruitment Limited Newton Abbot, Devon
Financial ControllerLocation: Newton Abbot, DevonSalary: £45,000 - £50,000 per annumContract: Permanent, Full TimeStart Date: August / September 2026 A growing and ambitious organisation based in the Newton Abbot area is seeking to appoint a Financial Controller to join their finance team during an exciting period of growth.Reporting directly into senior leadership, you will play a key role in overseeing the day-to-day finance function, supporting strategic decision-making and ensuring the business has accurate financial information to support future growth plans.Whilst experience within a manufacturing environment would be advantageous, applications are welcomed from candidates with strong financial control and management accounting experience from a range of sectors. Key Responsibilities Preparation of monthly management accounts Budgeting, forecasting and cashflow management Balance sheet reconciliations and financial controls Month-end and year-end processes Variance analysis and commentary Supporting operational stakeholders with financial insights Maintaining and improving financial processes and controls Preparing information for auditors and external advisors Managing transactional finance activities where required Supporting business growth initiatives and continuous improvement projects About You Fully qualified (ACA, ACCA, CIMA) or qualified by experience Previous experience operating within a Financial Controller, Finance Manager or Senior Management Accountant position Strong management accounting and financial reporting experience Excellent attention to detail and analytical skills Ability to communicate financial information to non-finance stakeholders Commercially minded with a proactive approach Strong Excel skills and good systems knowledge What's on Offer Salary of £45,000 - £50,000 per annum Permanent opportunity with a growing business Opportunity to influence and improve finance processes Varied and hands-on role with exposure to senior leadership Supportive and collaborative working environment Planned start date of August / September 2026 For further information or a confidential discussion, please get in touch. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at hays.co.uk
Jul 14, 2026
Full time
Financial ControllerLocation: Newton Abbot, DevonSalary: £45,000 - £50,000 per annumContract: Permanent, Full TimeStart Date: August / September 2026 A growing and ambitious organisation based in the Newton Abbot area is seeking to appoint a Financial Controller to join their finance team during an exciting period of growth.Reporting directly into senior leadership, you will play a key role in overseeing the day-to-day finance function, supporting strategic decision-making and ensuring the business has accurate financial information to support future growth plans.Whilst experience within a manufacturing environment would be advantageous, applications are welcomed from candidates with strong financial control and management accounting experience from a range of sectors. Key Responsibilities Preparation of monthly management accounts Budgeting, forecasting and cashflow management Balance sheet reconciliations and financial controls Month-end and year-end processes Variance analysis and commentary Supporting operational stakeholders with financial insights Maintaining and improving financial processes and controls Preparing information for auditors and external advisors Managing transactional finance activities where required Supporting business growth initiatives and continuous improvement projects About You Fully qualified (ACA, ACCA, CIMA) or qualified by experience Previous experience operating within a Financial Controller, Finance Manager or Senior Management Accountant position Strong management accounting and financial reporting experience Excellent attention to detail and analytical skills Ability to communicate financial information to non-finance stakeholders Commercially minded with a proactive approach Strong Excel skills and good systems knowledge What's on Offer Salary of £45,000 - £50,000 per annum Permanent opportunity with a growing business Opportunity to influence and improve finance processes Varied and hands-on role with exposure to senior leadership Supportive and collaborative working environment Planned start date of August / September 2026 For further information or a confidential discussion, please get in touch. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at hays.co.uk
The Portfolio Group
Accounts Payable Team Leader
The Portfolio Group
Are you an experienced Accounts Payable professional with team leadership experience and a background in high-volume invoice processing? We are looking for an Accounts Payable Team Leader to join our finance team in Erith. Reporting directly to the Financial Controller, you will lead a team of two Accounts Payable Assistants and take responsibility for the smooth running of the purchase ledger function within a busy and growing construction business. This is an excellent opportunity for a motivated finance professional who enjoys working in a fast-paced environment, leading people, and driving continuous improvement. Day to Day Responsibilities Leading and developing a team of two Accounts Payable Assistants. Managing the end-to-end accounts payable process. Overseeing the processing of high volumes of supplier invoices. Reviewing supplier reconciliations and resolving complex queries. Managing payment runs and ensuring suppliers are paid accurately and on time. Monitoring aged creditors and maintaining strong financial controls. Supporting month-end processes and audit requirements. Building strong working relationships with suppliers and internal stakeholders. Identifying and implementing process improvements across the AP function. YOU? Previous experience in an Accounts Payable Team Leader, Senior Accounts Payable, or similar position. Experience working within a high-volume invoice processing environment. Experience supervising or managing a small team. Strong knowledge of purchase ledger and accounts payable processes. Excellent communication and stakeholder management skills. Strong attention to detail and organisational ability. Good Excel and finance systems experience. Experience within construction, engineering, property, or a related sector would be advantageous but is not essential. If you are looking for your next challenge and want to play a key role within a busy finance function, we would love to hear from you. Apply today with your CV to be considered! INDLON 49877CC The Portfolio Group are acting on behalf of our client in recruiting for this position.
Jul 14, 2026
Full time
Are you an experienced Accounts Payable professional with team leadership experience and a background in high-volume invoice processing? We are looking for an Accounts Payable Team Leader to join our finance team in Erith. Reporting directly to the Financial Controller, you will lead a team of two Accounts Payable Assistants and take responsibility for the smooth running of the purchase ledger function within a busy and growing construction business. This is an excellent opportunity for a motivated finance professional who enjoys working in a fast-paced environment, leading people, and driving continuous improvement. Day to Day Responsibilities Leading and developing a team of two Accounts Payable Assistants. Managing the end-to-end accounts payable process. Overseeing the processing of high volumes of supplier invoices. Reviewing supplier reconciliations and resolving complex queries. Managing payment runs and ensuring suppliers are paid accurately and on time. Monitoring aged creditors and maintaining strong financial controls. Supporting month-end processes and audit requirements. Building strong working relationships with suppliers and internal stakeholders. Identifying and implementing process improvements across the AP function. YOU? Previous experience in an Accounts Payable Team Leader, Senior Accounts Payable, or similar position. Experience working within a high-volume invoice processing environment. Experience supervising or managing a small team. Strong knowledge of purchase ledger and accounts payable processes. Excellent communication and stakeholder management skills. Strong attention to detail and organisational ability. Good Excel and finance systems experience. Experience within construction, engineering, property, or a related sector would be advantageous but is not essential. If you are looking for your next challenge and want to play a key role within a busy finance function, we would love to hear from you. Apply today with your CV to be considered! INDLON 49877CC The Portfolio Group are acting on behalf of our client in recruiting for this position.
Ernest Gordon Recruitment Limited
Credit Controller / Accounts Receivable (Construction / FM)
Ernest Gordon Recruitment Limited Bolton, Lancashire
Credit Controller / Accounts Receivable (Construction / FM) £28,000 - £32,000 DOE + Pension Scheme + Professional Development + Growth Potential + Salary Progression + Company Benefits Bolton Are you a finance administrator with credit control experience looking to join a growing, family-run construction company that offers professional development and a supportive work environment?Would you like to work for a genuinely friendly and supportive team where the business is growing month by month and year by year?On offer is a role for an experienced finance professional from the construction or hard FM industries looking to work in a positive culture where you will have a direct impact on the development of the business.This company is a fast-growing building maintenance provider, carrying out refurbishments and refits for major clients across the UK, including national racecourses, commercial shops, and sports stadiums.In this varied role, you will lead and manage the day-to-day finance function, ensuring smooth financial processing, compliance, and accuracy. The Role: Processing and inputting of sales invoices & credit notes and ensuring all relevant details are correct before sending to the client Obtaining purchase orders and invoice sign-off from clients Maintain the accounts receivable inbox, ensuring this is cleared and processed daily and queries resolved Credit control duties - Contact customers by telephone and email to chase upcoming and overdue invoices and ensure clients have all relevant documents required to enable payment Reconcile customer accounts and investigate discrepancies The Person: Experienced in credit control and accounts receivable If you are interested in this role, click 'apply now' to forward an up-to-date copy of your CV.The salary advertised is a guideline for this position. The offered remuneration will be dependent on the extent of your experience, qualifications, and skill set.Ernest Gordon Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job, you accept the T&C's, Privacy Policy and Disclaimers which can be found at our website.
Jul 14, 2026
Full time
Credit Controller / Accounts Receivable (Construction / FM) £28,000 - £32,000 DOE + Pension Scheme + Professional Development + Growth Potential + Salary Progression + Company Benefits Bolton Are you a finance administrator with credit control experience looking to join a growing, family-run construction company that offers professional development and a supportive work environment?Would you like to work for a genuinely friendly and supportive team where the business is growing month by month and year by year?On offer is a role for an experienced finance professional from the construction or hard FM industries looking to work in a positive culture where you will have a direct impact on the development of the business.This company is a fast-growing building maintenance provider, carrying out refurbishments and refits for major clients across the UK, including national racecourses, commercial shops, and sports stadiums.In this varied role, you will lead and manage the day-to-day finance function, ensuring smooth financial processing, compliance, and accuracy. The Role: Processing and inputting of sales invoices & credit notes and ensuring all relevant details are correct before sending to the client Obtaining purchase orders and invoice sign-off from clients Maintain the accounts receivable inbox, ensuring this is cleared and processed daily and queries resolved Credit control duties - Contact customers by telephone and email to chase upcoming and overdue invoices and ensure clients have all relevant documents required to enable payment Reconcile customer accounts and investigate discrepancies The Person: Experienced in credit control and accounts receivable If you are interested in this role, click 'apply now' to forward an up-to-date copy of your CV.The salary advertised is a guideline for this position. The offered remuneration will be dependent on the extent of your experience, qualifications, and skill set.Ernest Gordon Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job, you accept the T&C's, Privacy Policy and Disclaimers which can be found at our website.
Axon Moore
Financial Controller - ACA/ACCA
Axon Moore Holmes Chapel, Cheshire
Financial Controller 75,000 - 85,000 + Bonus Cheshire (2 days in office) Private Equity-Backed International Growth Axon Moore are exclusively partnering with an exciting private equity backed business to recruit a Financial Controller during a pivotal stage of its growth journey. On the back of 20% YoY growth, this is a brand new role created by the CFO as the business plans to continue scaling both in the UK & internationally, making this is an excellent opportunity for an ambitious individual who wants to become a future FD. You will take ownership of financial control, group reporting, consolidation, and finance operations across multiple UK and international entities. This position is ideally suited to a technically strong, commercially minded finance professional who thrives in a fast-paced, evolving environment. Key responsibilities include: Lead the monthly close process across multiple legal entities Manage group consolidation, balance sheet reconciliations and financial controls Oversee production of monthly management accounts, board reporting packs and insightful financial analysis Deliver meaningful insights into revenue, margin, profitability and cash performance Ensure accurate and timely Group P&L, Balance Sheet and Cash Flow reporting Support statutory reporting, year-end audit and compliance requirements Oversee financial reporting across UK and overseas operations Manage multi-currency accounting, intercompany reconciliations and cash flow reporting Lead, mentor and develop a finance team Partner with senior stakeholders across the business to support commercial decision-making Drive continuous improvement across finance processes, systems and controls About You You'll be a fully qualified accountant with a strong technical background and experience operating within a complex, multi-entity environment. Strong knowledge of consolidations, month-end close and financial reporting Multi currency and international reporting experience Proven leadership and people management capability Advanced Excel skills and strong ERP systems experience Practice-trained or audit background Experience within a high-growth, private equity-backed or acquisitive business What's on Offer? Join a business experiencing sustained double-digit growth with ambitious international expansion plans. Work closely with an experienced CFO and executive leadership team. Play a key role in shaping the finance function during an exciting phase of growth. Broad international exposure across UK and international operations. A clearly defined progression pathway to FD. Hybrid working, competitive salary and comprehensive benefits package. If you're looking to step into a role where you can influence strategy, lead change and accelerate your career within a dynamic, investor-backed organisation, we'd love to hear from you.
Jul 14, 2026
Full time
Financial Controller 75,000 - 85,000 + Bonus Cheshire (2 days in office) Private Equity-Backed International Growth Axon Moore are exclusively partnering with an exciting private equity backed business to recruit a Financial Controller during a pivotal stage of its growth journey. On the back of 20% YoY growth, this is a brand new role created by the CFO as the business plans to continue scaling both in the UK & internationally, making this is an excellent opportunity for an ambitious individual who wants to become a future FD. You will take ownership of financial control, group reporting, consolidation, and finance operations across multiple UK and international entities. This position is ideally suited to a technically strong, commercially minded finance professional who thrives in a fast-paced, evolving environment. Key responsibilities include: Lead the monthly close process across multiple legal entities Manage group consolidation, balance sheet reconciliations and financial controls Oversee production of monthly management accounts, board reporting packs and insightful financial analysis Deliver meaningful insights into revenue, margin, profitability and cash performance Ensure accurate and timely Group P&L, Balance Sheet and Cash Flow reporting Support statutory reporting, year-end audit and compliance requirements Oversee financial reporting across UK and overseas operations Manage multi-currency accounting, intercompany reconciliations and cash flow reporting Lead, mentor and develop a finance team Partner with senior stakeholders across the business to support commercial decision-making Drive continuous improvement across finance processes, systems and controls About You You'll be a fully qualified accountant with a strong technical background and experience operating within a complex, multi-entity environment. Strong knowledge of consolidations, month-end close and financial reporting Multi currency and international reporting experience Proven leadership and people management capability Advanced Excel skills and strong ERP systems experience Practice-trained or audit background Experience within a high-growth, private equity-backed or acquisitive business What's on Offer? Join a business experiencing sustained double-digit growth with ambitious international expansion plans. Work closely with an experienced CFO and executive leadership team. Play a key role in shaping the finance function during an exciting phase of growth. Broad international exposure across UK and international operations. A clearly defined progression pathway to FD. Hybrid working, competitive salary and comprehensive benefits package. If you're looking to step into a role where you can influence strategy, lead change and accelerate your career within a dynamic, investor-backed organisation, we'd love to hear from you.
Marshall Harmony
Finance Manager
Marshall Harmony South Marston, Swindon
Finance Manager As a Finance Manager who wants proper ownership, this could be what you've been waiting for. Based in Swindon and paying £50,000, this Finance Manager role sits within a global organisation that is well established, financially stable, and quietly ambitious about what comes next. The UK business is growing steadily, with clear plans to move turnover from around £13 million towards £16 million, supported by a wider international group behind it. This Finance Manager role exists because someone has been promoted internally. Progression has created space, and now there's an opportunity for a Finance Manager to step in and take real responsibility. The business operates as a UK and Ireland distribution hub, stocking and supplying engineered solutions manufactured by their head office. That means finance here is very real and very tangible. The numbers connect directly to stock, margins, customer demand, and commercial decisions made every day. As Finance Manager, you'll have full ownership of the finance function. Payroll for around 30 people using Sage Payroll, month end and management accounts, group reporting, and working closely with the Managing Director to run the P&L. You'll be hands on, visible, and trusted. As Finance Manager you'll be working within an established ERP system, reporting directly into the Managing Director. This is not a background role. Finance has a seat at the table, and your input will shape how the business continues to grow. Historically, finance sat within a wider Finance Director remit. With growth and increased complexity, that structure has evolved. This Finance Manager role gives finance the dedicated focus it now needs, and gives you the space to properly own it. You're a commercially minded Finance Manager. Strong on Excel, comfortable working with ERP systems and group reporting, and confident understanding how decisions affect cash, margin, and growth. You're practical, switched on, and not someone who leads with "that's not my job". It's a broad role. As Finance Manager you'll get involved in lease agreements, some ISO work, and the odd dip into HR when needed. Not because you're expected to do everything, but because you're comfortable being part of the wider business and helping where it genuinely matters. Culturally, it's straightforward. No ego. No politics. Just people who want to do good work and move things forward. The job title is flexible. Finance Manager or Financial Controller both work. What matters is your mindset. This Finance Manager role is office based in Swindon. They are keen to get someone started, but they will wait for the right Finance Manager rather than rush the decision. If you're a Finance Manager who likes responsibility, visibility, and being trusted to get on with it, this one is worth a conversation. This role is exclusive to Marshall Harmony. You won't be contacted by any third parties. If you'd like more info or want to talk it through, just drop us a message, tag someone who'd be perfect for this below, or send your CV to the email above. By submitting my CV, I acknowledge and accept that Marshall Harmony will collect and process my personal information for recruitment purposes and will retain it for a minimum of 24 months in accordance with their Privacy Policy and T&Cs, available at: (url removed)> Before this retention period expires, Marshall Harmony will contact me to ask whether I wish my data to remain on file within their talent pool.
Jul 14, 2026
Full time
Finance Manager As a Finance Manager who wants proper ownership, this could be what you've been waiting for. Based in Swindon and paying £50,000, this Finance Manager role sits within a global organisation that is well established, financially stable, and quietly ambitious about what comes next. The UK business is growing steadily, with clear plans to move turnover from around £13 million towards £16 million, supported by a wider international group behind it. This Finance Manager role exists because someone has been promoted internally. Progression has created space, and now there's an opportunity for a Finance Manager to step in and take real responsibility. The business operates as a UK and Ireland distribution hub, stocking and supplying engineered solutions manufactured by their head office. That means finance here is very real and very tangible. The numbers connect directly to stock, margins, customer demand, and commercial decisions made every day. As Finance Manager, you'll have full ownership of the finance function. Payroll for around 30 people using Sage Payroll, month end and management accounts, group reporting, and working closely with the Managing Director to run the P&L. You'll be hands on, visible, and trusted. As Finance Manager you'll be working within an established ERP system, reporting directly into the Managing Director. This is not a background role. Finance has a seat at the table, and your input will shape how the business continues to grow. Historically, finance sat within a wider Finance Director remit. With growth and increased complexity, that structure has evolved. This Finance Manager role gives finance the dedicated focus it now needs, and gives you the space to properly own it. You're a commercially minded Finance Manager. Strong on Excel, comfortable working with ERP systems and group reporting, and confident understanding how decisions affect cash, margin, and growth. You're practical, switched on, and not someone who leads with "that's not my job". It's a broad role. As Finance Manager you'll get involved in lease agreements, some ISO work, and the odd dip into HR when needed. Not because you're expected to do everything, but because you're comfortable being part of the wider business and helping where it genuinely matters. Culturally, it's straightforward. No ego. No politics. Just people who want to do good work and move things forward. The job title is flexible. Finance Manager or Financial Controller both work. What matters is your mindset. This Finance Manager role is office based in Swindon. They are keen to get someone started, but they will wait for the right Finance Manager rather than rush the decision. If you're a Finance Manager who likes responsibility, visibility, and being trusted to get on with it, this one is worth a conversation. This role is exclusive to Marshall Harmony. You won't be contacted by any third parties. If you'd like more info or want to talk it through, just drop us a message, tag someone who'd be perfect for this below, or send your CV to the email above. By submitting my CV, I acknowledge and accept that Marshall Harmony will collect and process my personal information for recruitment purposes and will retain it for a minimum of 24 months in accordance with their Privacy Policy and T&Cs, available at: (url removed)> Before this retention period expires, Marshall Harmony will contact me to ask whether I wish my data to remain on file within their talent pool.
Hays Specialist Recruitment Limited
Management Accountant / Financial Controller
Hays Specialist Recruitment Limited Bury St. Edmunds, Suffolk
Your new company Hays are partnering exclusively with a highly successful and growing business, who deliver a range of exceptional services to their customers. You will be working within the UK division of an international group and will play a vital part in the delivery of day-to-day financial information. Your new role You will report to the Group FD and lead all day-to-day financial operations for multiple divisions. Specifically, you will be responsible for: Overseeing all financial operations, including financial reporting and FP&A Developing and maintaining financial policies and procedures to ensure efficiency and compliance with industry regulations and company requirements Preparing monthly accounts pack, including analysis and insight into financial and operational performance Business partner with various department heads, supporting budgeting and forecasting to support commercial decision-making Support the Group FD and MD with strategic decision-making Ensure compliance with tax, legal and regulatory requirements Oversee the transactional finance function Support the audit process and external advisors This is a full-time role, working 40 hours per week between Monday and Friday. The role offers hybrid working for up to 2 days per week. What you'll need to succeed You will need to: Be a fully qualified accountant Have similar previous experience in financial reporting and compliance Have strong communication and leadership capability Have experience supporting commercial decision-making and driving strategic goals Have excellent systems and Excel skills. What you'll get in return You will receive a competitive base salary, flexible hybrid working options, free on-site parking, private medical insurance, health cash plan, and life assurance cover. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays EA is a trading division of Hays Specialist Recruitment Limited and acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at hays.co.uk
Jul 14, 2026
Full time
Your new company Hays are partnering exclusively with a highly successful and growing business, who deliver a range of exceptional services to their customers. You will be working within the UK division of an international group and will play a vital part in the delivery of day-to-day financial information. Your new role You will report to the Group FD and lead all day-to-day financial operations for multiple divisions. Specifically, you will be responsible for: Overseeing all financial operations, including financial reporting and FP&A Developing and maintaining financial policies and procedures to ensure efficiency and compliance with industry regulations and company requirements Preparing monthly accounts pack, including analysis and insight into financial and operational performance Business partner with various department heads, supporting budgeting and forecasting to support commercial decision-making Support the Group FD and MD with strategic decision-making Ensure compliance with tax, legal and regulatory requirements Oversee the transactional finance function Support the audit process and external advisors This is a full-time role, working 40 hours per week between Monday and Friday. The role offers hybrid working for up to 2 days per week. What you'll need to succeed You will need to: Be a fully qualified accountant Have similar previous experience in financial reporting and compliance Have strong communication and leadership capability Have experience supporting commercial decision-making and driving strategic goals Have excellent systems and Excel skills. What you'll get in return You will receive a competitive base salary, flexible hybrid working options, free on-site parking, private medical insurance, health cash plan, and life assurance cover. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays EA is a trading division of Hays Specialist Recruitment Limited and acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at hays.co.uk
Platform Recruitment
Fund Controller
Platform Recruitment Newcastle Upon Tyne, Tyne And Wear
Fund Controller Newcastle upon Tyne An exciting opportunity has arisen to join a fast-growing technology and financial services organisation supporting a leading global investment management business. This role sits within a high-performing Investment Control team responsible for ensuring the accurate valuation, performance reporting and financial control of a diverse range of investment funds. Key Responsibilities +Produce and deliver accurate Profit & Loss (P&L) reporting across multiple asset classes and investment strategies. +Perform portfolio valuation testing using independent pricing sources to ensure the accuracy of trading positions. +Assist with Net Asset Value (NAV) reporting, including reviewing management and performance fees. +Analyse fund performance across various metrics including asset class, strategy, time periods and risk attribution. About You The ideal candidate will be analytical, detail-oriented and eager to build a career within financial markets. Essential Requirements +Degree educated from a Russell Group university (minimum 2:1 or equivalent). +Excellent attention to detail with strong analytical and problem-solving skills. +AAA at A Levels Desirable Experience +1-3 years' experience within Product Control, Fund Control, Valuations or a similar finance function within investment management or banking. +Alternatively, experience within Audit from a recognised accountancy practice. +Understanding of financial instruments such as equities, bonds, fixed income products or derivatives. +Exposure to SQL, Python and/or Tableau would be advantageous. This is an excellent opportunity to join a fast-growing organisation at an exciting stage of its journey, working alongside some of the brightest minds in finance and technology. You'll gain exposure to global financial markets, a diverse range of asset classes, and play a key role in ensuring the accuracy and integrity of investment fund reporting. If you're looking for a position that offers continuous learning, genuine career progression, and the chance to make a real impact from day one, we'd love to hear from you.
Jul 14, 2026
Full time
Fund Controller Newcastle upon Tyne An exciting opportunity has arisen to join a fast-growing technology and financial services organisation supporting a leading global investment management business. This role sits within a high-performing Investment Control team responsible for ensuring the accurate valuation, performance reporting and financial control of a diverse range of investment funds. Key Responsibilities +Produce and deliver accurate Profit & Loss (P&L) reporting across multiple asset classes and investment strategies. +Perform portfolio valuation testing using independent pricing sources to ensure the accuracy of trading positions. +Assist with Net Asset Value (NAV) reporting, including reviewing management and performance fees. +Analyse fund performance across various metrics including asset class, strategy, time periods and risk attribution. About You The ideal candidate will be analytical, detail-oriented and eager to build a career within financial markets. Essential Requirements +Degree educated from a Russell Group university (minimum 2:1 or equivalent). +Excellent attention to detail with strong analytical and problem-solving skills. +AAA at A Levels Desirable Experience +1-3 years' experience within Product Control, Fund Control, Valuations or a similar finance function within investment management or banking. +Alternatively, experience within Audit from a recognised accountancy practice. +Understanding of financial instruments such as equities, bonds, fixed income products or derivatives. +Exposure to SQL, Python and/or Tableau would be advantageous. This is an excellent opportunity to join a fast-growing organisation at an exciting stage of its journey, working alongside some of the brightest minds in finance and technology. You'll gain exposure to global financial markets, a diverse range of asset classes, and play a key role in ensuring the accuracy and integrity of investment fund reporting. If you're looking for a position that offers continuous learning, genuine career progression, and the chance to make a real impact from day one, we'd love to hear from you.
Michael Page
Credit Controller
Michael Page Witney, Oxfordshire
The Credit Controller will manage accounts receivable processes, ensuring timely payments and maintaining accurate financial records. This role requires a detail-oriented individual with strong organisational skills and a passion for accounting and finance. Client Details This opportunity is with a well-established, medium-sized company. They are known for their commitment to excellence in accounting and finance and offer a supportive environment for professional growth. Description The Credit Controller's responsibilities include: Manage customer accounts to ensure timely payments and minimise overdue balances. Reconcile accounts and resolve discrepancies efficiently and accurately. Monitor credit limits and assess customer creditworthiness as per company policies. Communicate with clients regarding outstanding payments and handle queries professionally. Prepare regular reports on accounts receivable status for management review. Collaborate with internal teams to ensure smooth invoicing and payment processes. Support the implementation of best practices in credit control procedures. Maintain accurate and up-to-date financial records in compliance with regulations. Profile A successful Credit Controller should have: Previous experience in credit control. A strong understanding of accounts receivable processes and financial regulations. Proficiency in financial software and Microsoft Excel. Excellent communication and negotiation skills to liaise with clients effectively. Strong attention to detail and the ability to manage multiple tasks efficiently. Job Offer Benefits include: Competitive salary ranging from 32,000 to 34,000 per annum. Attractive benefits package to support your professional and personal needs. Permanent position within a stable and reputable company. Opportunities for career growth within the accounting and finance department. A supportive and collaborative work environment. If you are ready to take the next step in your career as a Credit Controller, we encourage you to apply today!
Jul 14, 2026
Full time
The Credit Controller will manage accounts receivable processes, ensuring timely payments and maintaining accurate financial records. This role requires a detail-oriented individual with strong organisational skills and a passion for accounting and finance. Client Details This opportunity is with a well-established, medium-sized company. They are known for their commitment to excellence in accounting and finance and offer a supportive environment for professional growth. Description The Credit Controller's responsibilities include: Manage customer accounts to ensure timely payments and minimise overdue balances. Reconcile accounts and resolve discrepancies efficiently and accurately. Monitor credit limits and assess customer creditworthiness as per company policies. Communicate with clients regarding outstanding payments and handle queries professionally. Prepare regular reports on accounts receivable status for management review. Collaborate with internal teams to ensure smooth invoicing and payment processes. Support the implementation of best practices in credit control procedures. Maintain accurate and up-to-date financial records in compliance with regulations. Profile A successful Credit Controller should have: Previous experience in credit control. A strong understanding of accounts receivable processes and financial regulations. Proficiency in financial software and Microsoft Excel. Excellent communication and negotiation skills to liaise with clients effectively. Strong attention to detail and the ability to manage multiple tasks efficiently. Job Offer Benefits include: Competitive salary ranging from 32,000 to 34,000 per annum. Attractive benefits package to support your professional and personal needs. Permanent position within a stable and reputable company. Opportunities for career growth within the accounting and finance department. A supportive and collaborative work environment. If you are ready to take the next step in your career as a Credit Controller, we encourage you to apply today!
Randstad Technologies Recruitment
Principal Director - SAP
Randstad Technologies Recruitment
Position: Principal Director - SAP Employment Type: Contract (Inside IR35) - Hybrid Location: London, UK Overview We are looking for a highly experienced Principal Director with a background of more than 15 years in Enterprise Architecture to spearhead and oversee architectural strategies throughout the enterprise. Core Objectives In this role, you will establish and enforce architectural governance frameworks aligned with organizational objectives, while driving enterprise-wide initiatives to boost system integration, scalability, and efficiency. Working alongside executive leadership, you will design and execute strategic technology roadmaps, evaluate standard methodologies and tools to maximize IT investments, and deliver expert counsel on compliance and industry standards. Additionally, you will guide and cultivate architecture teams to enhance internal capabilities, track emerging technology trends to guide innovation, and promote cross-functional partnership for unified architectural cohesion across all business divisions. Key Responsibilities Oversee comprehensive architecture and solution design for SAP EPM programs covering budgeting, planning, forecasting, consolidation, and corporate reporting. Architect and manage SAP EPM environments utilizing SAP Analytics Cloud (SAC), SAP BPC, SAP BW/BW4HANA, and S/4HANA. Collaborate closely with Finance, IT, FP&A, and Controllership teams to convert business needs into sustainable SAP solution architectures. Create integrations linking SAP EPM applications with various data sources, including SAP ECC, S/4HANA, BW, and third-party systems. Formulate data models, consolidation rules, planning structures, script logic, protection mechanisms, and governance frameworks. Manage full lifecycle delivery spanning discovery, blueprinting, configuration, validation, transition, deployment, and operational hypercare. Lead technological updates and migration efforts, such as transitioning from SAP BPC to SAP Analytics Cloud, and guide cloud adoption roadmaps. Maintain optimal system performance, data fidelity, audit readiness, and compliance with inner financial controls. Offer technical direction to delivery teams, developers, and consultants while coaching team members on SAP EPM implementation principles. Assist with business development activities, including workload estimation, architecture assessments, and prospective client pitches for finance transformation initiatives. Technical Expertise Required Skills: SAP Datasphere, SAP Group Reporting, SAP SAC, SAP SAC Planning Randstad Technologies is acting as an Employment Business in relation to this vacancy.
Jul 14, 2026
Contractor
Position: Principal Director - SAP Employment Type: Contract (Inside IR35) - Hybrid Location: London, UK Overview We are looking for a highly experienced Principal Director with a background of more than 15 years in Enterprise Architecture to spearhead and oversee architectural strategies throughout the enterprise. Core Objectives In this role, you will establish and enforce architectural governance frameworks aligned with organizational objectives, while driving enterprise-wide initiatives to boost system integration, scalability, and efficiency. Working alongside executive leadership, you will design and execute strategic technology roadmaps, evaluate standard methodologies and tools to maximize IT investments, and deliver expert counsel on compliance and industry standards. Additionally, you will guide and cultivate architecture teams to enhance internal capabilities, track emerging technology trends to guide innovation, and promote cross-functional partnership for unified architectural cohesion across all business divisions. Key Responsibilities Oversee comprehensive architecture and solution design for SAP EPM programs covering budgeting, planning, forecasting, consolidation, and corporate reporting. Architect and manage SAP EPM environments utilizing SAP Analytics Cloud (SAC), SAP BPC, SAP BW/BW4HANA, and S/4HANA. Collaborate closely with Finance, IT, FP&A, and Controllership teams to convert business needs into sustainable SAP solution architectures. Create integrations linking SAP EPM applications with various data sources, including SAP ECC, S/4HANA, BW, and third-party systems. Formulate data models, consolidation rules, planning structures, script logic, protection mechanisms, and governance frameworks. Manage full lifecycle delivery spanning discovery, blueprinting, configuration, validation, transition, deployment, and operational hypercare. Lead technological updates and migration efforts, such as transitioning from SAP BPC to SAP Analytics Cloud, and guide cloud adoption roadmaps. Maintain optimal system performance, data fidelity, audit readiness, and compliance with inner financial controls. Offer technical direction to delivery teams, developers, and consultants while coaching team members on SAP EPM implementation principles. Assist with business development activities, including workload estimation, architecture assessments, and prospective client pitches for finance transformation initiatives. Technical Expertise Required Skills: SAP Datasphere, SAP Group Reporting, SAP SAC, SAP SAC Planning Randstad Technologies is acting as an Employment Business in relation to this vacancy.
WHITAKER SMITH RECRUITMENT LTD
Financial Controller
WHITAKER SMITH RECRUITMENT LTD Preston, Lancashire
Financial Controller Location: Preston (Hybrid Working) Salary: Up to £70,000 + Bonus + Benefits + progression Are you a qualified finance professional looking for a role that combines hands-on financial control with genuine influence across a growing organisation? Our client is a leading services business operating across multiple locations throughout the UK & now seeking an ambitious Financial Controller to join their finance team in a brand new role. This is an excellent opportunity for an experienced Financial Controller or a high-performing Finance Manager / Senior Management Accountant ready to take the next step in their career. You will play a pivotal role in ensuring the delivery of accurate financial reporting, robust controls, operational excellence, and commercial insight across a rapidly expanding business. Role: Leading a small finance team delivering day to day financial operations Lead the month-end process, ensuring accurate and timely production of management accounts Prepare journals, reconciliations and financial reports across multiple business entities Oversee financial controls, balance sheet integrity and working capital management Produce insightful financial analysis and performance reporting for senior leadership Support budgeting, forecasting and cashflow management activities Deliver meaningful P&L commentary and identify opportunities for performance improvement Manage, mentor and develop members of the finance team Drive finance process improvements and operational efficiencies Support year-end audit activities and statutory reporting requirements Assist with strategic projects, board reporting and commercial initiatives Partner with operational leaders across a multi-site environment to support decision making Experience: CIMA or ACCA qualified - essential Multi-site experience highly beneficial Experience working in a growing business (£80m +) Strong technical accounting ability with commercial awareness, leadership skills and a proactive mindset. Experience producing management accounts within a fast-paced organisation Strong financial control and month-end reporting expertise Previous experience managing or mentoring finance staff Excellent stakeholder management and communication skills Please send your CV for immediate consideration!
Jul 14, 2026
Full time
Financial Controller Location: Preston (Hybrid Working) Salary: Up to £70,000 + Bonus + Benefits + progression Are you a qualified finance professional looking for a role that combines hands-on financial control with genuine influence across a growing organisation? Our client is a leading services business operating across multiple locations throughout the UK & now seeking an ambitious Financial Controller to join their finance team in a brand new role. This is an excellent opportunity for an experienced Financial Controller or a high-performing Finance Manager / Senior Management Accountant ready to take the next step in their career. You will play a pivotal role in ensuring the delivery of accurate financial reporting, robust controls, operational excellence, and commercial insight across a rapidly expanding business. Role: Leading a small finance team delivering day to day financial operations Lead the month-end process, ensuring accurate and timely production of management accounts Prepare journals, reconciliations and financial reports across multiple business entities Oversee financial controls, balance sheet integrity and working capital management Produce insightful financial analysis and performance reporting for senior leadership Support budgeting, forecasting and cashflow management activities Deliver meaningful P&L commentary and identify opportunities for performance improvement Manage, mentor and develop members of the finance team Drive finance process improvements and operational efficiencies Support year-end audit activities and statutory reporting requirements Assist with strategic projects, board reporting and commercial initiatives Partner with operational leaders across a multi-site environment to support decision making Experience: CIMA or ACCA qualified - essential Multi-site experience highly beneficial Experience working in a growing business (£80m +) Strong technical accounting ability with commercial awareness, leadership skills and a proactive mindset. Experience producing management accounts within a fast-paced organisation Strong financial control and month-end reporting expertise Previous experience managing or mentoring finance staff Excellent stakeholder management and communication skills Please send your CV for immediate consideration!
Sytner
Transaction/Business Manager
Sytner City, Cardiff
About the role Sytner Select Cardiff is currently recruiting for a Transaction/Business Manager to join their growing team. As a Sytner Transaction/Business Manager, you will be responsible for helping manage and grow all aspects of the Finance & Insurance department; you will do this by being at the core of all sales enquiries and by developing the sales team. You will ensure that every customer has a clear understanding of obligations that they have entered into, doing so with integrity and above all, treating customers fairly. Sytner Transaction/Business Managers work a variety of flexible patterns which can typically include weekends to ensure we provide our customers with the highest possible levels of service. About you If you are a high achieving Sales Executive, Sales Controller or Business Manager with sound financial and commercial understanding, we would love to hear from you. Ideally, you will have an outstanding work ethic and be able to lead from the front and inspire your colleagues to 'raise the bar' and exceed their full potential whilst driving the finance and add-on performance forward. Strong organisational, communication and interpersonal skills are essential along with experience of working as part of a team with shared objectives and personal performance goals. Why Sytner? Sytner Group are delighted to provide an industry-leading benefits package. We are passionate about continuous improvement and building an environment where everyone feels valued, appreciated and able to reach their full potential. Enhanced Holiday Entitlement 33 days inc. bank holidays Industry-leading Maternity, Paternity and Adoption Pay Career Development Recognition of Long Service every 5 years Discounted Car Schemes High Street Discounts Discounted Gym memberships Cycle to work scheme One day a year paid voluntary / community work At Sytner, our values and the way we behave are important to us. We are committed to creating an equitable working environment where we value and respect every individual's unique contribution, supporting our colleagues to thrive and achieve their full potential. As part of our commitment to Diversity and Inclusion, you have the right to ask for changes / adjustments to job interviews and the recruitment process. For more information around reasonable adjustments and the recruitment process please click here. Unsure? Read on We represent over 23 of the world's most prestige vehicle brands, across our 140 UK dealerships. We pride ourselves on Developing Talent and Building Careers and our colleagues recently scored Sytner Group an outstanding 89% on our colleague engagement survey.
Jul 13, 2026
Full time
About the role Sytner Select Cardiff is currently recruiting for a Transaction/Business Manager to join their growing team. As a Sytner Transaction/Business Manager, you will be responsible for helping manage and grow all aspects of the Finance & Insurance department; you will do this by being at the core of all sales enquiries and by developing the sales team. You will ensure that every customer has a clear understanding of obligations that they have entered into, doing so with integrity and above all, treating customers fairly. Sytner Transaction/Business Managers work a variety of flexible patterns which can typically include weekends to ensure we provide our customers with the highest possible levels of service. About you If you are a high achieving Sales Executive, Sales Controller or Business Manager with sound financial and commercial understanding, we would love to hear from you. Ideally, you will have an outstanding work ethic and be able to lead from the front and inspire your colleagues to 'raise the bar' and exceed their full potential whilst driving the finance and add-on performance forward. Strong organisational, communication and interpersonal skills are essential along with experience of working as part of a team with shared objectives and personal performance goals. Why Sytner? Sytner Group are delighted to provide an industry-leading benefits package. We are passionate about continuous improvement and building an environment where everyone feels valued, appreciated and able to reach their full potential. Enhanced Holiday Entitlement 33 days inc. bank holidays Industry-leading Maternity, Paternity and Adoption Pay Career Development Recognition of Long Service every 5 years Discounted Car Schemes High Street Discounts Discounted Gym memberships Cycle to work scheme One day a year paid voluntary / community work At Sytner, our values and the way we behave are important to us. We are committed to creating an equitable working environment where we value and respect every individual's unique contribution, supporting our colleagues to thrive and achieve their full potential. As part of our commitment to Diversity and Inclusion, you have the right to ask for changes / adjustments to job interviews and the recruitment process. For more information around reasonable adjustments and the recruitment process please click here. Unsure? Read on We represent over 23 of the world's most prestige vehicle brands, across our 140 UK dealerships. We pride ourselves on Developing Talent and Building Careers and our colleagues recently scored Sytner Group an outstanding 89% on our colleague engagement survey.
Arlington Resource Management
CFO / Finance Director
Arlington Resource Management Bristol, Gloucestershire
Excellent CFO / Finance Director opportunity with this Bristol-based PE backed Tech business with operations and partners in both the UK and across the globe. This CFO / Finance Director role comes with the opportunity to participate in a Management Equity Scheme , commensurate with a value-creation role such as this. With significant year-on-year growth and 30% EBITDA, this is an exciting opportunity as the company looks to continue growth in its Annual Recurring Revenue offering across its various routes to market and other revenue streams. Working closely with the CEO, key to this role will be the ability of the new CFO / Finance Director to contribute to the further growth of the business by providing quality financial modelling and analysis for decision-making at Board level and for the Private Equity investors. Please apply if you're an experienced ambitious qualified Finance Director, CFO, Financial Controller or Head of Finance from the Tech (or similar) sector (and / or with PE backed experience) looking for an exciting journey.
Jul 13, 2026
Full time
Excellent CFO / Finance Director opportunity with this Bristol-based PE backed Tech business with operations and partners in both the UK and across the globe. This CFO / Finance Director role comes with the opportunity to participate in a Management Equity Scheme , commensurate with a value-creation role such as this. With significant year-on-year growth and 30% EBITDA, this is an exciting opportunity as the company looks to continue growth in its Annual Recurring Revenue offering across its various routes to market and other revenue streams. Working closely with the CEO, key to this role will be the ability of the new CFO / Finance Director to contribute to the further growth of the business by providing quality financial modelling and analysis for decision-making at Board level and for the Private Equity investors. Please apply if you're an experienced ambitious qualified Finance Director, CFO, Financial Controller or Head of Finance from the Tech (or similar) sector (and / or with PE backed experience) looking for an exciting journey.
Guidant Global
Supply Chain Business Controller
Guidant Global
Supply Chain Business Controller Location: Broughton, North Wales (80% onsite) Hours: 35 hours per week (4.5-day working week) Security Clearance: BPSS+ (completed by Airbus Security) Pay Rate: 21.68 PAYE or 29.00 Umbrella per hour Shape the Future of Supply Chain Operations at Airbus An exciting opportunity has arisen to join the Industrial Supply Chain Business Management Team at Airbus in Broughton. This role sits within the team responsible for supporting supply, logistics and transportation operations across Airbus Commercial Aircraft sites, helping to drive business performance, resource planning, financial management and continuous improvement. If you enjoy working with data, improving processes, influencing stakeholders and supporting strategic decision-making, this role offers the chance to make a real impact within a complex, international manufacturing environment. You'll gain valuable exposure to senior stakeholders, strengthen your commercial and financial expertise, and develop a broader understanding of global supply chain operations within one of the world's leading aerospace organisations. What You'll Be Doing As a Supply Chain Business Controller, you'll play a key role in supporting operational and financial performance across the Supply Chain Operations function. Your responsibilities will include: Supporting Operational Planning (OP) activities in collaboration with Central Finance teams Monitoring budgets and resource plans across operational teams, providing clear reporting and performance insights Leading and coordinating the Supply Chain Operations resource management network Working closely with HR and Finance colleagues to support workforce planning and resource strategies Producing analysis, reports and decision-making papers to support business planning and strategic initiatives Providing insights relating to workforce demographics, attrition, diversity and future resource requirements Supporting make-versus-buy and competitiveness projects across multiple Airbus locations Improving financial tracking, reporting processes and business performance visibility Contributing to governance activities and helping drive continuous process improvements Supporting the development of digital tools, dashboards and reporting solutions What We're Looking For We're keen to hear from candidates who can combine strong analytical skills with the ability to build effective relationships across a large organisation. Essential Skills & Experience Experience working in a similar business control, financial planning, resource management or operational support role Previous experience within a large, complex organisation Strong stakeholder management and communication skills Experience producing financial reports, analysis and business insights Ability to interpret complex data and present clear recommendations Advanced Excel or Google Sheets skills, including: Pivot Tables VLOOKUPs Data analysis and reporting Experience supporting budgeting, forecasting or resource planning activities Desirable Skills Understanding of financial reporting processes Understanding of governance and business controls Experience driving process improvement initiatives Knowledge of workforce planning and resource management Macro development skills within Excel Experience within manufacturing, logistics, supply chain or aerospace environments Why Join Airbus? This role offers an excellent opportunity to develop your career within a globally recognised organisation committed to innovation, sustainability and operational excellence. You'll benefit from: Exposure to international supply chain and logistics operations Opportunities to work with senior business leaders across multiple functions Experience supporting strategic decision-making on a large scale A collaborative and inclusive working environment The chance to develop your commercial, financial and operational expertise A modern hybrid working model with a 80% onsite presence Inclusive Recruitment Airbus and Guidant Global are committed to creating an inclusive workplace where everyone can thrive. We welcome applications from people of all backgrounds, experiences and perspectives. If you require any reasonable adjustments during the recruitment process, please let us know and we'll be happy to support you. Apply Today If you're an analytical professional with a passion for business performance, finance, resource planning and continuous improvement, we'd love to hear from you. Join Airbus and help shape the future of supply chain operations in a truly global environment. Guidant, Carbon60, Lorien & SRG - The Impellam Group Portfolio are acting as an Employment Business in relation to this vacancy.
Jul 13, 2026
Contractor
Supply Chain Business Controller Location: Broughton, North Wales (80% onsite) Hours: 35 hours per week (4.5-day working week) Security Clearance: BPSS+ (completed by Airbus Security) Pay Rate: 21.68 PAYE or 29.00 Umbrella per hour Shape the Future of Supply Chain Operations at Airbus An exciting opportunity has arisen to join the Industrial Supply Chain Business Management Team at Airbus in Broughton. This role sits within the team responsible for supporting supply, logistics and transportation operations across Airbus Commercial Aircraft sites, helping to drive business performance, resource planning, financial management and continuous improvement. If you enjoy working with data, improving processes, influencing stakeholders and supporting strategic decision-making, this role offers the chance to make a real impact within a complex, international manufacturing environment. You'll gain valuable exposure to senior stakeholders, strengthen your commercial and financial expertise, and develop a broader understanding of global supply chain operations within one of the world's leading aerospace organisations. What You'll Be Doing As a Supply Chain Business Controller, you'll play a key role in supporting operational and financial performance across the Supply Chain Operations function. Your responsibilities will include: Supporting Operational Planning (OP) activities in collaboration with Central Finance teams Monitoring budgets and resource plans across operational teams, providing clear reporting and performance insights Leading and coordinating the Supply Chain Operations resource management network Working closely with HR and Finance colleagues to support workforce planning and resource strategies Producing analysis, reports and decision-making papers to support business planning and strategic initiatives Providing insights relating to workforce demographics, attrition, diversity and future resource requirements Supporting make-versus-buy and competitiveness projects across multiple Airbus locations Improving financial tracking, reporting processes and business performance visibility Contributing to governance activities and helping drive continuous process improvements Supporting the development of digital tools, dashboards and reporting solutions What We're Looking For We're keen to hear from candidates who can combine strong analytical skills with the ability to build effective relationships across a large organisation. Essential Skills & Experience Experience working in a similar business control, financial planning, resource management or operational support role Previous experience within a large, complex organisation Strong stakeholder management and communication skills Experience producing financial reports, analysis and business insights Ability to interpret complex data and present clear recommendations Advanced Excel or Google Sheets skills, including: Pivot Tables VLOOKUPs Data analysis and reporting Experience supporting budgeting, forecasting or resource planning activities Desirable Skills Understanding of financial reporting processes Understanding of governance and business controls Experience driving process improvement initiatives Knowledge of workforce planning and resource management Macro development skills within Excel Experience within manufacturing, logistics, supply chain or aerospace environments Why Join Airbus? This role offers an excellent opportunity to develop your career within a globally recognised organisation committed to innovation, sustainability and operational excellence. You'll benefit from: Exposure to international supply chain and logistics operations Opportunities to work with senior business leaders across multiple functions Experience supporting strategic decision-making on a large scale A collaborative and inclusive working environment The chance to develop your commercial, financial and operational expertise A modern hybrid working model with a 80% onsite presence Inclusive Recruitment Airbus and Guidant Global are committed to creating an inclusive workplace where everyone can thrive. We welcome applications from people of all backgrounds, experiences and perspectives. If you require any reasonable adjustments during the recruitment process, please let us know and we'll be happy to support you. Apply Today If you're an analytical professional with a passion for business performance, finance, resource planning and continuous improvement, we'd love to hear from you. Join Airbus and help shape the future of supply chain operations in a truly global environment. Guidant, Carbon60, Lorien & SRG - The Impellam Group Portfolio are acting as an Employment Business in relation to this vacancy.

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