Management Accountant 45,000 - 50,000 + Training + Progression + Hybrid + Benefits Central London (Commutable from: Holborn, Soho, Lambeth, Camden, Notting Hill, Fulham, Putney, West London, East London, North London, South London) Do you have Finance / Accounting experience looking to join a national leading business in a highly varied and secure permanent role? On offer is a great opportunity to receive specialist training across Financial Management, a clear progression structure and a range of highly competitive benefits. The client are a national leader in providing conferences / events across prestige facilities. This role is due to continued growth. You will play a key role in managing the business financial processes and accounting systems. This will be a Monday - Friday days based with hybrid working. When is office you are based out of a state-of-the-art facility in Central London. The role would suit a Financial Professional / Accountant who is looking to develop and progress while becoming a valued member of the accounts team to maximise company revenue. The role: Complete finance control, accounting and financial reporting. Monday - Friday (35 hours contracted). Hybrid working. The person: Experienced Accountant. Qualified (ACCA/CIMA/ACA). Commutable to Central London. Rise Technical Recruitment Ltd acts an employment agency for permanent roles and an employment business for temporary roles. The salary advertised is the bracket available for this position. The actual salary paid will be dependent on your level of experience, qualifications and skill set and will be decided by our client, the employer. Rise are not responsible or liable for any hiring decisions made by the end client. We are an equal opportunities company and welcome applications from all suitable candidates.
Apr 18, 2026
Full time
Management Accountant 45,000 - 50,000 + Training + Progression + Hybrid + Benefits Central London (Commutable from: Holborn, Soho, Lambeth, Camden, Notting Hill, Fulham, Putney, West London, East London, North London, South London) Do you have Finance / Accounting experience looking to join a national leading business in a highly varied and secure permanent role? On offer is a great opportunity to receive specialist training across Financial Management, a clear progression structure and a range of highly competitive benefits. The client are a national leader in providing conferences / events across prestige facilities. This role is due to continued growth. You will play a key role in managing the business financial processes and accounting systems. This will be a Monday - Friday days based with hybrid working. When is office you are based out of a state-of-the-art facility in Central London. The role would suit a Financial Professional / Accountant who is looking to develop and progress while becoming a valued member of the accounts team to maximise company revenue. The role: Complete finance control, accounting and financial reporting. Monday - Friday (35 hours contracted). Hybrid working. The person: Experienced Accountant. Qualified (ACCA/CIMA/ACA). Commutable to Central London. Rise Technical Recruitment Ltd acts an employment agency for permanent roles and an employment business for temporary roles. The salary advertised is the bracket available for this position. The actual salary paid will be dependent on your level of experience, qualifications and skill set and will be decided by our client, the employer. Rise are not responsible or liable for any hiring decisions made by the end client. We are an equal opportunities company and welcome applications from all suitable candidates.
We are currently working with a large well-established client based in Blackburn who are looking to recruit a PQ Management Accountant to join the business. The role is due to growth within their specialised marketplace and offers the candidate a chance to really develop their finance career, with visibility of your reporting at Board level click apply for full job details
Apr 18, 2026
Full time
We are currently working with a large well-established client based in Blackburn who are looking to recruit a PQ Management Accountant to join the business. The role is due to growth within their specialised marketplace and offers the candidate a chance to really develop their finance career, with visibility of your reporting at Board level click apply for full job details
SF Recruitment are partnering with a fast-paced, growing organisation in the West Midlands to recruit a commercially focused Finance Manager. This is a fantastic opportunity for a qualified accountant looking to step into a broad role with exposure to senior stakeholders and genuine opportunity to influence business performance. This is a temporary to permanent opportunity for the right person. The Role Reporting into the Head of Finance, you will take ownership of core financial reporting while supporting strategic decision-making across the business. This is a hands-on position suited to someone who thrives in a dynamic environment. Key Responsibilities Preparation of monthly P&L and Balance Sheet in line with Group reporting deadlines Ownership of balance sheet reconciliations and ensuring financial integrity Support year-end statutory accounts and liaise with external auditors Cashflow reporting and treasury management Partner with FP&A on forecasts and budgeting cycles Work closely with operational teams to drive commercial insight Improve and document finance processes and controls Lead and develop members of the finance team Deliver efficiency and continuous improvement projects About You Fully qualified accountant (ACA / ACCA / CIMA) Post-qualification experience within a fast-paced environment Strong financial reporting and cashflow management experience Excellent Excel and data manipulation skills Commercially minded with strong business partnering ability Confident communicator with experience leading or mentoring a team Proactive, ambitious and able to meet tight deadlines
Apr 18, 2026
Seasonal
SF Recruitment are partnering with a fast-paced, growing organisation in the West Midlands to recruit a commercially focused Finance Manager. This is a fantastic opportunity for a qualified accountant looking to step into a broad role with exposure to senior stakeholders and genuine opportunity to influence business performance. This is a temporary to permanent opportunity for the right person. The Role Reporting into the Head of Finance, you will take ownership of core financial reporting while supporting strategic decision-making across the business. This is a hands-on position suited to someone who thrives in a dynamic environment. Key Responsibilities Preparation of monthly P&L and Balance Sheet in line with Group reporting deadlines Ownership of balance sheet reconciliations and ensuring financial integrity Support year-end statutory accounts and liaise with external auditors Cashflow reporting and treasury management Partner with FP&A on forecasts and budgeting cycles Work closely with operational teams to drive commercial insight Improve and document finance processes and controls Lead and develop members of the finance team Deliver efficiency and continuous improvement projects About You Fully qualified accountant (ACA / ACCA / CIMA) Post-qualification experience within a fast-paced environment Strong financial reporting and cashflow management experience Excellent Excel and data manipulation skills Commercially minded with strong business partnering ability Confident communicator with experience leading or mentoring a team Proactive, ambitious and able to meet tight deadlines
Interim Strategic Finance Business Partner - Capital 6 month contract £550-600 per day (Inside IR35) Local Authority Hybrid working arrangements, London Office About the client Morgan Law are seeking an Interim Strategic Finance Business Partner - Capital for a Local Authority in the London area. Accountabilities Act as the strategic lead finance business partner for the Council's capital programme across the General Fund and HRA, supporting Corporate Directors and informing Cabinet-level decision-making Direct complex capital monitoring, forecasting, and year-end closedown processes, acting as the senior finance lead for high-value regeneration, housing, and infrastructure programmes Translate complex financial data into clear, actionable insights, constructively challenging senior stakeholders on affordability, risk, slippage, and delivery assumptions Provide expert advice on capital accounting, financial regulations, governance, and compliance with the CIPFA Code Resolve post-implementation reporting issues by developing independent reconciliation and monitoring models, ensuring accurate tracking of capital expenditure and strengthening management confidence Design and enhance capital tracking and reconciliation models to bridge gaps between project systems and the General Ledger, supporting audit assurance Lead and coordinate a finance team, setting priorities, managing performance, and ensuring delivery against statutory and corporate deadlines Contribute to MTFS development, productivity and savings initiatives, funding strategies, and cross-cutting transformation programmes Deputise for senior finance leadership, representing finance in high-level meetings with Directors and key stakeholders Candidate Requirements (Essential) Qualified accountant (ACA, ACCA, CIMA) Proven experience in local government finance, particularly within Housing Revenue Account (HRA) and capital accounting. Strong financial modelling (MS Excel) and analysis skills, with experience in ERP systems and Power BI Ability to convey complex financial data to non-finance professionals and senior leadership Experience leading on the preparation and management of Councils capital accounting, including the accurate recording of all capital transactions Campaign Timeline This is an urgent post and is open until filled. Equality & Diversity Statement Morgan Law shall not discriminate unlawfully when deciding which candidate/temporary worker is submitted for a vacancy or assignment, or in any terms of employment or terms of engagement for temporary workers. Morgan Law will ensure that each candidate is assessed only in accordance with the candidate's merits, qualifications and abilities to perform the relevant duties required by the particular vacancy.
Apr 18, 2026
Contractor
Interim Strategic Finance Business Partner - Capital 6 month contract £550-600 per day (Inside IR35) Local Authority Hybrid working arrangements, London Office About the client Morgan Law are seeking an Interim Strategic Finance Business Partner - Capital for a Local Authority in the London area. Accountabilities Act as the strategic lead finance business partner for the Council's capital programme across the General Fund and HRA, supporting Corporate Directors and informing Cabinet-level decision-making Direct complex capital monitoring, forecasting, and year-end closedown processes, acting as the senior finance lead for high-value regeneration, housing, and infrastructure programmes Translate complex financial data into clear, actionable insights, constructively challenging senior stakeholders on affordability, risk, slippage, and delivery assumptions Provide expert advice on capital accounting, financial regulations, governance, and compliance with the CIPFA Code Resolve post-implementation reporting issues by developing independent reconciliation and monitoring models, ensuring accurate tracking of capital expenditure and strengthening management confidence Design and enhance capital tracking and reconciliation models to bridge gaps between project systems and the General Ledger, supporting audit assurance Lead and coordinate a finance team, setting priorities, managing performance, and ensuring delivery against statutory and corporate deadlines Contribute to MTFS development, productivity and savings initiatives, funding strategies, and cross-cutting transformation programmes Deputise for senior finance leadership, representing finance in high-level meetings with Directors and key stakeholders Candidate Requirements (Essential) Qualified accountant (ACA, ACCA, CIMA) Proven experience in local government finance, particularly within Housing Revenue Account (HRA) and capital accounting. Strong financial modelling (MS Excel) and analysis skills, with experience in ERP systems and Power BI Ability to convey complex financial data to non-finance professionals and senior leadership Experience leading on the preparation and management of Councils capital accounting, including the accurate recording of all capital transactions Campaign Timeline This is an urgent post and is open until filled. Equality & Diversity Statement Morgan Law shall not discriminate unlawfully when deciding which candidate/temporary worker is submitted for a vacancy or assignment, or in any terms of employment or terms of engagement for temporary workers. Morgan Law will ensure that each candidate is assessed only in accordance with the candidate's merits, qualifications and abilities to perform the relevant duties required by the particular vacancy.
Robert Half Finance and Accounting are currently looking to recruit a Management Accountant to join an exciting Manufacturing company experiencing huge growth based in Tewkesbury. For the right person the client is offering a very competitive: £46,000 - £49,000 plus wider benefits Role responsibilities will include but not limited to: Prepare monthly management and depot accounts. Investigate, report and resolve variances Prepare and reconcile monthly MTD data and Sales Analysis - Excel Prepare the analysis of financial performance Reconcile balance sheet accounts, including cash balances not cleared through the bank at the end of the week Maintain records and support annual audit and tax analysis requirements Monthly journals and balance sheet reconciliations Monthly depot and stock valuations Person specification: CIMA/ACCA/ACA Qualified 3 to 5 years experience in a management accounting role Strong Excel skills Excellent at multitasking, and self-prioritizing skills Attention to detail, accurate, inquisitive, diligent Works well in a team; always willing to help colleagues Proactive and able to demonstrate initiative For the right person the client is offering a very competitive: £46,000 - £49,000 plus wider benefits Robert Half Ltd acts as an employment business for temporary positions and an employment agency for permanent positions. Robert Half is committed to diversity, equity and inclusion. Suitable candidates with equivalent qualifications and more or less experience can apply. Rates of pay and salary ranges are dependent upon your experience, qualifications and training. If you wish to apply, please read our Privacy Notice describing how we may process, disclose and store your personal data:
Apr 18, 2026
Full time
Robert Half Finance and Accounting are currently looking to recruit a Management Accountant to join an exciting Manufacturing company experiencing huge growth based in Tewkesbury. For the right person the client is offering a very competitive: £46,000 - £49,000 plus wider benefits Role responsibilities will include but not limited to: Prepare monthly management and depot accounts. Investigate, report and resolve variances Prepare and reconcile monthly MTD data and Sales Analysis - Excel Prepare the analysis of financial performance Reconcile balance sheet accounts, including cash balances not cleared through the bank at the end of the week Maintain records and support annual audit and tax analysis requirements Monthly journals and balance sheet reconciliations Monthly depot and stock valuations Person specification: CIMA/ACCA/ACA Qualified 3 to 5 years experience in a management accounting role Strong Excel skills Excellent at multitasking, and self-prioritizing skills Attention to detail, accurate, inquisitive, diligent Works well in a team; always willing to help colleagues Proactive and able to demonstrate initiative For the right person the client is offering a very competitive: £46,000 - £49,000 plus wider benefits Robert Half Ltd acts as an employment business for temporary positions and an employment agency for permanent positions. Robert Half is committed to diversity, equity and inclusion. Suitable candidates with equivalent qualifications and more or less experience can apply. Rates of pay and salary ranges are dependent upon your experience, qualifications and training. If you wish to apply, please read our Privacy Notice describing how we may process, disclose and store your personal data:
Crowe Watson Recruitment is proud to be partnering with a highly regarded firm of Chartered Accountants in Southampton to recruit a Corporate Tax Director. This outstanding opportunity offers flexible working, a competitive company pension, and much more! As a specialist recruitment consultancy with a strong reputation in the accountancy practice market, Crowe Watson is committed to connecting top talent with leading firms that truly value their people and career progression. This Corporate Tax Director role in Southampton presents a fantastic opportunity for an experienced tax professional to take on a strategic leadership position within a forward-thinking and ambitious firm. You will play a pivotal role in shaping the corporate tax offering, managing a diverse client portfolio, and driving business development initiatives. The firm is known for its collaborative culture, technical excellence, and commitment to delivering exceptional client service. The successful candidate will work closely with Partners and senior stakeholders, providing high-level advisory services to a wide range of clients, from SMEs to large corporates. This role is ideal for someone looking to take the next step in their career within a dynamic and supportive environment that encourages innovation, leadership, and continuous professional development. You might not meet all the criteria, but if you are passionate about developing yourself and your career, we'd love to hear from you. Crowe Watson is acting as an Employment Agency, references to pay rates are indicative and salary is dependent on experience. Key Responsibilities Lead and manage a varied portfolio of corporate tax clients Provide strategic tax planning and advisory services Oversee complex tax compliance matters Support and develop junior members of the tax team Identify and drive business development opportunities Build and maintain strong client relationships Requirements ACA/ACCA/CTA qualified (or equivalent) Extensive experience in corporate tax within accountancy practice Strong leadership and team management skills Excellent technical knowledge and advisory capability Must have a minimum of 6 years previous experience working within a UK Practice environment Strong communication and client-facing skills
Apr 18, 2026
Full time
Crowe Watson Recruitment is proud to be partnering with a highly regarded firm of Chartered Accountants in Southampton to recruit a Corporate Tax Director. This outstanding opportunity offers flexible working, a competitive company pension, and much more! As a specialist recruitment consultancy with a strong reputation in the accountancy practice market, Crowe Watson is committed to connecting top talent with leading firms that truly value their people and career progression. This Corporate Tax Director role in Southampton presents a fantastic opportunity for an experienced tax professional to take on a strategic leadership position within a forward-thinking and ambitious firm. You will play a pivotal role in shaping the corporate tax offering, managing a diverse client portfolio, and driving business development initiatives. The firm is known for its collaborative culture, technical excellence, and commitment to delivering exceptional client service. The successful candidate will work closely with Partners and senior stakeholders, providing high-level advisory services to a wide range of clients, from SMEs to large corporates. This role is ideal for someone looking to take the next step in their career within a dynamic and supportive environment that encourages innovation, leadership, and continuous professional development. You might not meet all the criteria, but if you are passionate about developing yourself and your career, we'd love to hear from you. Crowe Watson is acting as an Employment Agency, references to pay rates are indicative and salary is dependent on experience. Key Responsibilities Lead and manage a varied portfolio of corporate tax clients Provide strategic tax planning and advisory services Oversee complex tax compliance matters Support and develop junior members of the tax team Identify and drive business development opportunities Build and maintain strong client relationships Requirements ACA/ACCA/CTA qualified (or equivalent) Extensive experience in corporate tax within accountancy practice Strong leadership and team management skills Excellent technical knowledge and advisory capability Must have a minimum of 6 years previous experience working within a UK Practice environment Strong communication and client-facing skills
Ian Leech professional recruitment
Chesterfield, Derbyshire
My client is a market leading manufacturer and retailer supplying both the B2C and B2B markets. The position is an integral part of a team of finance professionals, responsible for all aspects of financial and management reporting for the Groups Operations, comprising the Production, Recycling and Supply chain functions. The Finance Operations team is a cornerstone of the Groups Finance function, a click apply for full job details
Apr 18, 2026
Full time
My client is a market leading manufacturer and retailer supplying both the B2C and B2B markets. The position is an integral part of a team of finance professionals, responsible for all aspects of financial and management reporting for the Groups Operations, comprising the Production, Recycling and Supply chain functions. The Finance Operations team is a cornerstone of the Groups Finance function, a click apply for full job details
Assistant Accountant / Part-Qualified Accountant Belfast (BT17) McKinty Associates are delighted to be working with a global manufacturing client who as an immediate need for an experienced Assistant Accountant to support their Finance Shared Service Team with financial reporting, budgeting, and reconciliations. This position offers exam support and hybrid working Key Responsibilities: Assist with financial reporting, budgeting, and forecasting Support month-end and year-end close processes Intercompany processing with multiple entities in multiple currencies Completing weekly Bank Reconciliations and assisting with cashflow forecasts Maintain financial controls and ensure accurate records Prepare statutory accounts and management reports Respond to accounting queries and support system users Conduct financial checks and help resolve compliance issues Any other Relevant ad hoc finance or business support activities as required Eligibility criteria: Recent experience working as part of a busy accounts team (3-5 years' experience) Strong understanding of core accounting principles. Practical knowledge of computerised accounts packages. Strong IT skills including a high level of expertise in use of Microsoft Excel. Be highly numerate and comfortable working with multiple sources of information. Ability to multi-task, manage deadlines and workload. Ability to work within a team. Strong planning and organising skills. Good numeracy and time management skills. Keen eye for detail. Applications for this role will be considered immediately with a view to placing the right individual ASAP, so please register your interest early. Please note, the opening may close in advance of advertised closing date - this is a guideline only. McKinty Associates 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 which can be found on our website
Apr 18, 2026
Full time
Assistant Accountant / Part-Qualified Accountant Belfast (BT17) McKinty Associates are delighted to be working with a global manufacturing client who as an immediate need for an experienced Assistant Accountant to support their Finance Shared Service Team with financial reporting, budgeting, and reconciliations. This position offers exam support and hybrid working Key Responsibilities: Assist with financial reporting, budgeting, and forecasting Support month-end and year-end close processes Intercompany processing with multiple entities in multiple currencies Completing weekly Bank Reconciliations and assisting with cashflow forecasts Maintain financial controls and ensure accurate records Prepare statutory accounts and management reports Respond to accounting queries and support system users Conduct financial checks and help resolve compliance issues Any other Relevant ad hoc finance or business support activities as required Eligibility criteria: Recent experience working as part of a busy accounts team (3-5 years' experience) Strong understanding of core accounting principles. Practical knowledge of computerised accounts packages. Strong IT skills including a high level of expertise in use of Microsoft Excel. Be highly numerate and comfortable working with multiple sources of information. Ability to multi-task, manage deadlines and workload. Ability to work within a team. Strong planning and organising skills. Good numeracy and time management skills. Keen eye for detail. Applications for this role will be considered immediately with a view to placing the right individual ASAP, so please register your interest early. Please note, the opening may close in advance of advertised closing date - this is a guideline only. McKinty Associates 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 which can be found on our website
Ivy Rock Partners is working with Greenhouse Sports in their recruitment of a permanent Head of Finance. About Us Greenhouse Sports is a youth charity using sport to support social change. Sport is our hook to engage young people and one of the vehicles through which we support youth development. But our purpose is not to create elite athletes or address physical inactivity. Rather, we create opportunities for young people to recognise their strengths and develop the skills they need to thrive both now and in the future. We work across London, Portsmouth, and Leicester, specifically in areas of high deprivation. We embed evidence-based positive youth development programmes into primary and secondary schools. These programmes are delivered by our trusted, high-quality coach-mentors who deliver year-round to ensure that young people have ongoing access to sport, mentoring, enrichment, and employability activities. The result of this work is that every year, Greenhouse Sports supports over 8,000 young people to attend school more often, improve their wellbeing, and raise their aspirations, transforming life chances in the communities that need us the most. The Role Greenhouse Sports is looking to recruit a permanent Head of Finance, to support the Director of Finance and Resources in the operational running of the finance function. With the re-opening of the charity s community centre, The Greenhouse Centre, a vibrant hub for community learning, wellbeing and connection in the heart of Westminster, this is an exciting time for a new Head of Finance to be joining Greenhouse Sports. Key duties for the role will include the following: Ownership of the management accounts process, ensuring accuracy, completeness, and timely delivery, including cash flow forecasting, commentary, and variance analysis Coordination of the annual budget process end-to-end, including ownership of the timetable, budget-holder meetings, consolidation, analysis, and amendments Leading the annual audit process and acting as the main point of contact for external auditors Supporting non-finance budget holders to monitor and manage their spend, and creating meaningful and informative financial information for stakeholders Maintaining, reviewing, and developing robust and effective processes, policies, and internal controls Line management of the Accounts Assistant and Management Accountant, including responsibility for and support of their career development About You You will be a qualified accountant (CCAB or equivalent) ou will have a broad range of financial knowledge across financial and management reporting ou will have a strong interest in the work Greenhouse Sports undertakes, supporting young people s confidence, development, and wellbeing to transform life chances in the communities in which it works What we offer Salary of £60,000 - £65,000 depending on experience Hybrid working of 2-3 days per week in London office (Marylebone) with the remainder from home Ivy Rock Partners are working exclusively with Greenhouse Sports in the recruitment of the Head of Finance vacancy. For a confidential discussion, please apply below or reach out to Holly at Ivy Rock Partners.
Apr 18, 2026
Full time
Ivy Rock Partners is working with Greenhouse Sports in their recruitment of a permanent Head of Finance. About Us Greenhouse Sports is a youth charity using sport to support social change. Sport is our hook to engage young people and one of the vehicles through which we support youth development. But our purpose is not to create elite athletes or address physical inactivity. Rather, we create opportunities for young people to recognise their strengths and develop the skills they need to thrive both now and in the future. We work across London, Portsmouth, and Leicester, specifically in areas of high deprivation. We embed evidence-based positive youth development programmes into primary and secondary schools. These programmes are delivered by our trusted, high-quality coach-mentors who deliver year-round to ensure that young people have ongoing access to sport, mentoring, enrichment, and employability activities. The result of this work is that every year, Greenhouse Sports supports over 8,000 young people to attend school more often, improve their wellbeing, and raise their aspirations, transforming life chances in the communities that need us the most. The Role Greenhouse Sports is looking to recruit a permanent Head of Finance, to support the Director of Finance and Resources in the operational running of the finance function. With the re-opening of the charity s community centre, The Greenhouse Centre, a vibrant hub for community learning, wellbeing and connection in the heart of Westminster, this is an exciting time for a new Head of Finance to be joining Greenhouse Sports. Key duties for the role will include the following: Ownership of the management accounts process, ensuring accuracy, completeness, and timely delivery, including cash flow forecasting, commentary, and variance analysis Coordination of the annual budget process end-to-end, including ownership of the timetable, budget-holder meetings, consolidation, analysis, and amendments Leading the annual audit process and acting as the main point of contact for external auditors Supporting non-finance budget holders to monitor and manage their spend, and creating meaningful and informative financial information for stakeholders Maintaining, reviewing, and developing robust and effective processes, policies, and internal controls Line management of the Accounts Assistant and Management Accountant, including responsibility for and support of their career development About You You will be a qualified accountant (CCAB or equivalent) ou will have a broad range of financial knowledge across financial and management reporting ou will have a strong interest in the work Greenhouse Sports undertakes, supporting young people s confidence, development, and wellbeing to transform life chances in the communities in which it works What we offer Salary of £60,000 - £65,000 depending on experience Hybrid working of 2-3 days per week in London office (Marylebone) with the remainder from home Ivy Rock Partners are working exclusively with Greenhouse Sports in the recruitment of the Head of Finance vacancy. For a confidential discussion, please apply below or reach out to Holly at Ivy Rock Partners.
Cobb & Jones Recruitment Limited
Broadstairs, Kent
We are delighted to be supporting our client, a rapidly growing and forward-thinking organisation, in their search for a commercially-minded Finance Business Partner. This is a newly created role that will work closely with sales, operations and senior leadership teams to drive performance, enhance profitability, and shape strategic decision-making across the business. If you're looking for an opportunity to make a real impact and play a key role in helping a business achieve its ambitious growth plans, this is a fantastic next step. Key Responsibilities You will work with stakeholders at all levels, translating financial data into meaningful insights and driving accountability throughout the business. Lead performance management across sales and operations. Deliver monthly reporting covering financial results and KPIs. Embed strong processes for revenue reporting, billing and pricing. Strengthen cost control and margin management. Conduct investment appraisals for capex and leasing decisions. Support project teams to ensure planned benefits are delivered and captured. Drive regular forecasting and support the annual budget cycle. Provide robust financial input into investment business cases across the organisation. The Ideal Candidate Fully qualified accountant or finalist (ACA, ACCA, CIMA or equivalent). Minimum 5 years' experience across finance, including strong FP&A capability and hands-on Finance Business Partnering. Confident working with data models and turning complex analysis into clear guidance. A results-driven mindset with a passion for data-led decision making. Strong communication skills, capable of engaging and influencing non-finance stakeholders. Resilience, positive energy and the ability to challenge constructively. A collaborative team player who can build excellent relationships across the organisation. Get in touch today to find out more!
Apr 18, 2026
Full time
We are delighted to be supporting our client, a rapidly growing and forward-thinking organisation, in their search for a commercially-minded Finance Business Partner. This is a newly created role that will work closely with sales, operations and senior leadership teams to drive performance, enhance profitability, and shape strategic decision-making across the business. If you're looking for an opportunity to make a real impact and play a key role in helping a business achieve its ambitious growth plans, this is a fantastic next step. Key Responsibilities You will work with stakeholders at all levels, translating financial data into meaningful insights and driving accountability throughout the business. Lead performance management across sales and operations. Deliver monthly reporting covering financial results and KPIs. Embed strong processes for revenue reporting, billing and pricing. Strengthen cost control and margin management. Conduct investment appraisals for capex and leasing decisions. Support project teams to ensure planned benefits are delivered and captured. Drive regular forecasting and support the annual budget cycle. Provide robust financial input into investment business cases across the organisation. The Ideal Candidate Fully qualified accountant or finalist (ACA, ACCA, CIMA or equivalent). Minimum 5 years' experience across finance, including strong FP&A capability and hands-on Finance Business Partnering. Confident working with data models and turning complex analysis into clear guidance. A results-driven mindset with a passion for data-led decision making. Strong communication skills, capable of engaging and influencing non-finance stakeholders. Resilience, positive energy and the ability to challenge constructively. A collaborative team player who can build excellent relationships across the organisation. Get in touch today to find out more!
We are looking for a nearly or newly qualified accountant to join the outsourcing team to support with the delivery of cloud-accounting, management reporting, and outsourced finance office services. Benefits: Life assurance at 2 x salary Income protection insurance Pension Critical illness cover Dental insurance Additional life assurance Childcare vouchers Purchase of additional holiday Retail vouchers Wide click apply for full job details
Apr 18, 2026
Full time
We are looking for a nearly or newly qualified accountant to join the outsourcing team to support with the delivery of cloud-accounting, management reporting, and outsourced finance office services. Benefits: Life assurance at 2 x salary Income protection insurance Pension Critical illness cover Dental insurance Additional life assurance Childcare vouchers Purchase of additional holiday Retail vouchers Wide click apply for full job details
A fantastic opportunity has arisen for a Financial Accountant with a Japanese cultural institution, on a full-time (35 hours per week), 6-month FTC basis. As Financial Accountant you will provide hands-on accounting support to ensure accurate financial records, a clear audit trail, and timely delivery of year-end and audit requirements. There is hybrid working in place at this organisation with 1 day per week required in their central London office. As Financial Accountant, you will: - Prepare and post journals with appropriate supporting documentation - Complete bank, balance sheet and control account reconciliations - Support preparation of statutory accounts and audit schedules, including resolving historic issues - Assist with clearing historic accounting backlogs - Ensure compliance with internal financial controls and procedures The successful applicant will: - Have significant demonstrable experience in finance, in a similar role - Be a fully qualified accountant or qualified by experience - Be expert level proficiency in excel - Have experience of using Xero - Have experience with VAT, Purchase Order (PO) management, year-end processes and balance sheet reconciliations - Have excellent communication skills, both written and verbal If this sounds like you and you're keen to hear more, please do get in touch ASAP! Please note, only successful applicants will be contacted with further information. As leading charity recruitment specialists and a certified B Corp , Harris Hill is committed to high and ever-improving standards of equitable and inclusive recruitment. We actively welcome applications from all sections of the community regardless of age, disability, gender, race, religion, sexuality and other protected characteristics.
Apr 18, 2026
Full time
A fantastic opportunity has arisen for a Financial Accountant with a Japanese cultural institution, on a full-time (35 hours per week), 6-month FTC basis. As Financial Accountant you will provide hands-on accounting support to ensure accurate financial records, a clear audit trail, and timely delivery of year-end and audit requirements. There is hybrid working in place at this organisation with 1 day per week required in their central London office. As Financial Accountant, you will: - Prepare and post journals with appropriate supporting documentation - Complete bank, balance sheet and control account reconciliations - Support preparation of statutory accounts and audit schedules, including resolving historic issues - Assist with clearing historic accounting backlogs - Ensure compliance with internal financial controls and procedures The successful applicant will: - Have significant demonstrable experience in finance, in a similar role - Be a fully qualified accountant or qualified by experience - Be expert level proficiency in excel - Have experience of using Xero - Have experience with VAT, Purchase Order (PO) management, year-end processes and balance sheet reconciliations - Have excellent communication skills, both written and verbal If this sounds like you and you're keen to hear more, please do get in touch ASAP! Please note, only successful applicants will be contacted with further information. As leading charity recruitment specialists and a certified B Corp , Harris Hill is committed to high and ever-improving standards of equitable and inclusive recruitment. We actively welcome applications from all sections of the community regardless of age, disability, gender, race, religion, sexuality and other protected characteristics.
NOTE: This is a FULLY remote role, but the candidate must be within North America - EST OR EMEA to collaborate with their team, peers, and internal customers. You do not have to be in the specific country or city shown in this listing, but please only apply if you are physically based within North America - EST OR EMEA. If you're based in North America you'll need to be in EST timezone to work as close as possible to the team. Hostaway powers the future of short-term rental property management. Our platform helps property managers scale their operations, delight guests, and grow revenue with innovative technology tailored to the vacation rental industry. About the role As a Staff Product Manager for Trust Accounting, you will define and execute the product strategy for our embedded trust accounting solution, ensuring it meets regulatory requirements while delivering an exceptional user experience. You will work closely with cross functional teams of engineers, designers, legal experts, and accounting professionals to deliver a seamless and compliant trust accounting system that helps our users manage their financial operations with confidence. Your mission Develop and champion a product vision and roadmap for our Trust Accounting solution that aligns with the overall company strategy and regulatory compliance requirements. Plan and execute thorough customer research and analysis to deeply understand the needs and pain of property managers and accountants, translating those insights along with legal requirements into product specifications and user stories. Collaborate closely with UX/UI designers to create intuitive and user friendly experiences that simplify complex accounting workflows. Partner with legal and accounting subject matter experts to ensure all regulatory requirements are properly addressed while maintaining excellent user experience. Prioritize and manage the product backlog, ensuring alignment with business objectives, compliance needs, and user requirements. Oversee the entire product development lifecycle, from ideation and design to development, testing, and launch of trust accounting features. Define and analyze the metrics that determine success, ensuring the product not only meets compliance standards but also demonstrably simplifies the financial operations of the Property Managers we serve. Spearhead the discovery of our reporting and insights layer. You'll identify the essential compliance reports, operational dashboards, and financial statements that provide clarity, ensure audit readiness, and deliver indispensable value to our users. Qualifications Significant experience in product management (typically 6+ years), with a specific focus on accounting software systems. Proven leadership in managing complex, cross domain products from ideation to launch, working closely with engineering teams to make ideas turn into real solutions. Deep understanding of financial operations, compliance and accounting systems, ideally in the US landscape. Strong customer empathy and experience translating insights into impactful product decisions. Proven ability to own complex product strategies and deliver industry leading solutions. Excellent analytical and problem solving skills with the ability to interpret data and translate it into actionable insights. A strong ability to work with subject matter experts to detect and extract pain points into tangible, user centric but compliant product solutions. What we offer Competitive Compensation: We offer competitive pay based on market rates in the country of the applicant. 100% Remote: Enjoy the freedom to work from anywhere within your country of residence be it a co working space, your home office, or even your dining room table. The choice is yours. Just don't ask to work in our office (we don't have one). Equity: Every role in our company comes with valuable stock options in a fast growing and profitable company. This ensures we all share in the company's success. Values Driven Leadership: Our Core Values are not just words we've written to make us feel good. We leverage them daily when making strategic and tactical decisions. Professional Growth: Our rapid growth offers unparalleled learning and development opportunities, along with a multitude of career advancement opportunities. Annual Paid Leave: The specific amounts vary by country and are aligned with country and/or contract specific norms. Geographic Specific Benefits: As an international employer, we offer different country specific benefits such as Health Insurance and Pensions in countries where these perks are customary. The specifics depend on the country of the applicant. Dynamic Team Culture: As a global company with team members in over 40 countries, our diverse and international culture fuels our innovation and creativity, providing a key pillar to our success (and making it a lot of fun to work here).
Apr 18, 2026
Full time
NOTE: This is a FULLY remote role, but the candidate must be within North America - EST OR EMEA to collaborate with their team, peers, and internal customers. You do not have to be in the specific country or city shown in this listing, but please only apply if you are physically based within North America - EST OR EMEA. If you're based in North America you'll need to be in EST timezone to work as close as possible to the team. Hostaway powers the future of short-term rental property management. Our platform helps property managers scale their operations, delight guests, and grow revenue with innovative technology tailored to the vacation rental industry. About the role As a Staff Product Manager for Trust Accounting, you will define and execute the product strategy for our embedded trust accounting solution, ensuring it meets regulatory requirements while delivering an exceptional user experience. You will work closely with cross functional teams of engineers, designers, legal experts, and accounting professionals to deliver a seamless and compliant trust accounting system that helps our users manage their financial operations with confidence. Your mission Develop and champion a product vision and roadmap for our Trust Accounting solution that aligns with the overall company strategy and regulatory compliance requirements. Plan and execute thorough customer research and analysis to deeply understand the needs and pain of property managers and accountants, translating those insights along with legal requirements into product specifications and user stories. Collaborate closely with UX/UI designers to create intuitive and user friendly experiences that simplify complex accounting workflows. Partner with legal and accounting subject matter experts to ensure all regulatory requirements are properly addressed while maintaining excellent user experience. Prioritize and manage the product backlog, ensuring alignment with business objectives, compliance needs, and user requirements. Oversee the entire product development lifecycle, from ideation and design to development, testing, and launch of trust accounting features. Define and analyze the metrics that determine success, ensuring the product not only meets compliance standards but also demonstrably simplifies the financial operations of the Property Managers we serve. Spearhead the discovery of our reporting and insights layer. You'll identify the essential compliance reports, operational dashboards, and financial statements that provide clarity, ensure audit readiness, and deliver indispensable value to our users. Qualifications Significant experience in product management (typically 6+ years), with a specific focus on accounting software systems. Proven leadership in managing complex, cross domain products from ideation to launch, working closely with engineering teams to make ideas turn into real solutions. Deep understanding of financial operations, compliance and accounting systems, ideally in the US landscape. Strong customer empathy and experience translating insights into impactful product decisions. Proven ability to own complex product strategies and deliver industry leading solutions. Excellent analytical and problem solving skills with the ability to interpret data and translate it into actionable insights. A strong ability to work with subject matter experts to detect and extract pain points into tangible, user centric but compliant product solutions. What we offer Competitive Compensation: We offer competitive pay based on market rates in the country of the applicant. 100% Remote: Enjoy the freedom to work from anywhere within your country of residence be it a co working space, your home office, or even your dining room table. The choice is yours. Just don't ask to work in our office (we don't have one). Equity: Every role in our company comes with valuable stock options in a fast growing and profitable company. This ensures we all share in the company's success. Values Driven Leadership: Our Core Values are not just words we've written to make us feel good. We leverage them daily when making strategic and tactical decisions. Professional Growth: Our rapid growth offers unparalleled learning and development opportunities, along with a multitude of career advancement opportunities. Annual Paid Leave: The specific amounts vary by country and are aligned with country and/or contract specific norms. Geographic Specific Benefits: As an international employer, we offer different country specific benefits such as Health Insurance and Pensions in countries where these perks are customary. The specifics depend on the country of the applicant. Dynamic Team Culture: As a global company with team members in over 40 countries, our diverse and international culture fuels our innovation and creativity, providing a key pillar to our success (and making it a lot of fun to work here).
Looking for a role where you can genuinely make your mark? Reed Finance are partnered with an innovative organisation in Oxford to recruit a new Deputy Financial Controller on a permanent basis. This newly created position offers the perfect blend of technical challenge, variety, visibility, and progression, all within a friendly and collaborative environment where your ideas will be welcomed. This is a fantastic opportunity for a qualified accountant who enjoys rolling up their sleeves, working across multiple entities, and getting involved in everything from month end to strategic project work. This role has been created to take ownership of key operational finance activity and act as a bridge between the transactional Finance team and Financial Controller. You will play a central role across financial reporting, management accounts, controls, and project work. It is a great time to join this business as structures are evolving, processes are being improved, and you will have the chance to help shape the future of the finance function. Core responsibilities Preparing and reviewing monthly management accounts across multiple entities Supporting year end, audits, statutory reporting, and tax packs Reviewing and improving balance sheet reconciliations Providing oversight on cashbooks, banking, and cashflow reporting Acting as a key quality assurance point for the team Supporting group consolidations and multi entity accounting Liaising with auditors and external advisors Helping to streamline processes and introduce better controls Supporting system improvements and upgrades Acting as deputy to the Finance Controller on technical matters Essentials: Fully qualified (ACA, ACCA, CIMA) ideally newly qualified with strong management accounting experience Experience in multi entity or Group environment Advanced Excel skills A collaborative, proactive, and adaptable style This is a fantastic opportunity to join a friendly, supportive, sociable team environment with ample room to grow. Salary offered is £55-62k with good benefits, free parking, wellbeing and social events.
Apr 18, 2026
Full time
Looking for a role where you can genuinely make your mark? Reed Finance are partnered with an innovative organisation in Oxford to recruit a new Deputy Financial Controller on a permanent basis. This newly created position offers the perfect blend of technical challenge, variety, visibility, and progression, all within a friendly and collaborative environment where your ideas will be welcomed. This is a fantastic opportunity for a qualified accountant who enjoys rolling up their sleeves, working across multiple entities, and getting involved in everything from month end to strategic project work. This role has been created to take ownership of key operational finance activity and act as a bridge between the transactional Finance team and Financial Controller. You will play a central role across financial reporting, management accounts, controls, and project work. It is a great time to join this business as structures are evolving, processes are being improved, and you will have the chance to help shape the future of the finance function. Core responsibilities Preparing and reviewing monthly management accounts across multiple entities Supporting year end, audits, statutory reporting, and tax packs Reviewing and improving balance sheet reconciliations Providing oversight on cashbooks, banking, and cashflow reporting Acting as a key quality assurance point for the team Supporting group consolidations and multi entity accounting Liaising with auditors and external advisors Helping to streamline processes and introduce better controls Supporting system improvements and upgrades Acting as deputy to the Finance Controller on technical matters Essentials: Fully qualified (ACA, ACCA, CIMA) ideally newly qualified with strong management accounting experience Experience in multi entity or Group environment Advanced Excel skills A collaborative, proactive, and adaptable style This is a fantastic opportunity to join a friendly, supportive, sociable team environment with ample room to grow. Salary offered is £55-62k with good benefits, free parking, wellbeing and social events.
Accountancy Practice Administrator Location : Bourton-on-the-Water, GL54 2HQ (Office-Based) Salary : £28,000 - £32,000 per annum, DOE Contract : Full-time, Permanent Working Hours: 37.5 hours per week, Monday - Friday (9:00am - 5:00pm) Benefits: 28 days holiday including bank holidays, Pension scheme, Ongoing training and Continued Professional Development, Health Assured Employee Assistance Programme, Friendly office environment and Free on-site parking We are TaxAssist Accountants, the UK's largest network of accountants, supporting over 100,000 small businesses nationwide! We provide accountancy, tax and advisory services to small businesses and individuals. We are now recruiting for a proactive and organised Accountancy PracticeAdministrator to join our small, friendly team within a well-established accountancy practice. This is a varied and hands-on role offering the opportunity to support both clients and colleagues across a wide range of administrative and bookkeeping activities. You'll benefit from a supportive working environment, ongoing training and development, and the chance to build your experience within the accountancy and tax sector. As our Accountancy Practice Administrator you will be responsible for: Answering telephone calls and handle reception enquiries in a timely and professional manner Communicating with clients via phone, email, and written correspondence Managing and maintaining client records using internal systems and databases Carrying out document management including filing, scanning, and record keeping Supporting the client lifecycle process (onboarding, terms of engagement, reviews, closures) Providing bookkeeping support where required Preparing documentation to support compliance processes Assisting with ad-hoc administrative tasks and internal projects Building and maintaining effective working relationships with clients and colleagues Ensuring all client records are maintained in line with company procedures Supporting team members with additional duties as required In order to be successful in this role you must have: Previous office-based administration experience (minimum 1 year) Strong IT skills including Microsoft Office and CRM systems Excellent written and verbal communication skills Highly organised with strong attention to detail Self-motivated with the ability to manage workload and meet deadlines Flexible and adaptable approach to work It would be great if you had: An interest in accountancy or tax An understanding of small businesses (sole trader or limited company) If you feel you have the skills and experience to be successful in this role, then click on " APPLY " today! Important Information: Due to the volume of applications, only shortlisted candidates will be contacted. No agencies please.
Apr 18, 2026
Full time
Accountancy Practice Administrator Location : Bourton-on-the-Water, GL54 2HQ (Office-Based) Salary : £28,000 - £32,000 per annum, DOE Contract : Full-time, Permanent Working Hours: 37.5 hours per week, Monday - Friday (9:00am - 5:00pm) Benefits: 28 days holiday including bank holidays, Pension scheme, Ongoing training and Continued Professional Development, Health Assured Employee Assistance Programme, Friendly office environment and Free on-site parking We are TaxAssist Accountants, the UK's largest network of accountants, supporting over 100,000 small businesses nationwide! We provide accountancy, tax and advisory services to small businesses and individuals. We are now recruiting for a proactive and organised Accountancy PracticeAdministrator to join our small, friendly team within a well-established accountancy practice. This is a varied and hands-on role offering the opportunity to support both clients and colleagues across a wide range of administrative and bookkeeping activities. You'll benefit from a supportive working environment, ongoing training and development, and the chance to build your experience within the accountancy and tax sector. As our Accountancy Practice Administrator you will be responsible for: Answering telephone calls and handle reception enquiries in a timely and professional manner Communicating with clients via phone, email, and written correspondence Managing and maintaining client records using internal systems and databases Carrying out document management including filing, scanning, and record keeping Supporting the client lifecycle process (onboarding, terms of engagement, reviews, closures) Providing bookkeeping support where required Preparing documentation to support compliance processes Assisting with ad-hoc administrative tasks and internal projects Building and maintaining effective working relationships with clients and colleagues Ensuring all client records are maintained in line with company procedures Supporting team members with additional duties as required In order to be successful in this role you must have: Previous office-based administration experience (minimum 1 year) Strong IT skills including Microsoft Office and CRM systems Excellent written and verbal communication skills Highly organised with strong attention to detail Self-motivated with the ability to manage workload and meet deadlines Flexible and adaptable approach to work It would be great if you had: An interest in accountancy or tax An understanding of small businesses (sole trader or limited company) If you feel you have the skills and experience to be successful in this role, then click on " APPLY " today! Important Information: Due to the volume of applications, only shortlisted candidates will be contacted. No agencies please.
The Finance Business Partner - 18m FTC will play a key role in delivering strategic financial insights and supporting decision-making within the public sector. Based in Pontypridd, this role requires a strong understanding of accounting and finance principles to drive performance and value. Client Details This organisation operates within the public sector and is recognised for its commitment to delivering exceptional services to the community. As a medium-sized entity, it offers an environment where professionals can make a tangible impact and contribute to meaningful projects. Description Are you a commercially minded finance professional who thrives on partnering with the business to drive insight, influence decisions, and deliver real organisational impact? My client is looking to hire a FBP to strengthen the team whilst a huge transformation project is underway. As a Finance Business Partner, you will play a pivotal role in shaping strategic and operational decision-making across several directorates. Sitting at the heart of the organisation, you will provide high-quality financial insight, challenge, and guidance that enables the organisation to deliver its business plan and long-term objectives. You will work closely with senior leaders, project teams, budget holders and the wider Finance function to provide trusted analysis, transparent reporting, and proactive support. This role is ideal for someone who enjoys balancing analytical depth with hands-on collaboration. Lead the development of financial plans, budgets and forecasts for assigned directorates. Produce insightful financial analysis, management accounts, performance dashboards and commentary. Partner with senior stakeholders to evaluate risks, opportunities, and investment cases. Influence strategic initiatives and ensure value for money across spend and delivery. Drive cost-saving initiatives, process improvements and finance transformation activities. Act as the primary finance contact for budget holders, leading regular review meetings. Ensure strong governance, compliance and adherence to financial controls. Support year-end processes and external audit requirements. Champion continuous improvement and contribute to developing financial capability across the organisation. Profile About You; Essential: Qualified accountant (ACA, ACCA, CIMA). Strong experience in business partnering or financial management in a complex environment. Advanced financial analysis, budgeting, forecasting and reporting skills. Excellent interpersonal and influencing skills with the ability to build strong relationships. Advanced Excel and experience with financial systems. Knowledge of governance, controls and compliance frameworks. Desirable: Exposure to transformation programmes or process improvement. Familiarity with automated reporting and data visualisation tools. Experience in commercial negotiations. Job Offer Competitive salary ranging from £50,000 to £59,000 per annum. No set days in the office, however during this transformation phase, most FBP's are working 2-3 days in the office Salary sacrifice pension scheme - defend contribution - 8% employer contributions 28 days holiday (excluding bank holidays) 4x death in service Employee Assistance Programme Flexible benefits (Including Electric Car Lease Scheme and Cycle to Work Schemes)
Apr 18, 2026
Contractor
The Finance Business Partner - 18m FTC will play a key role in delivering strategic financial insights and supporting decision-making within the public sector. Based in Pontypridd, this role requires a strong understanding of accounting and finance principles to drive performance and value. Client Details This organisation operates within the public sector and is recognised for its commitment to delivering exceptional services to the community. As a medium-sized entity, it offers an environment where professionals can make a tangible impact and contribute to meaningful projects. Description Are you a commercially minded finance professional who thrives on partnering with the business to drive insight, influence decisions, and deliver real organisational impact? My client is looking to hire a FBP to strengthen the team whilst a huge transformation project is underway. As a Finance Business Partner, you will play a pivotal role in shaping strategic and operational decision-making across several directorates. Sitting at the heart of the organisation, you will provide high-quality financial insight, challenge, and guidance that enables the organisation to deliver its business plan and long-term objectives. You will work closely with senior leaders, project teams, budget holders and the wider Finance function to provide trusted analysis, transparent reporting, and proactive support. This role is ideal for someone who enjoys balancing analytical depth with hands-on collaboration. Lead the development of financial plans, budgets and forecasts for assigned directorates. Produce insightful financial analysis, management accounts, performance dashboards and commentary. Partner with senior stakeholders to evaluate risks, opportunities, and investment cases. Influence strategic initiatives and ensure value for money across spend and delivery. Drive cost-saving initiatives, process improvements and finance transformation activities. Act as the primary finance contact for budget holders, leading regular review meetings. Ensure strong governance, compliance and adherence to financial controls. Support year-end processes and external audit requirements. Champion continuous improvement and contribute to developing financial capability across the organisation. Profile About You; Essential: Qualified accountant (ACA, ACCA, CIMA). Strong experience in business partnering or financial management in a complex environment. Advanced financial analysis, budgeting, forecasting and reporting skills. Excellent interpersonal and influencing skills with the ability to build strong relationships. Advanced Excel and experience with financial systems. Knowledge of governance, controls and compliance frameworks. Desirable: Exposure to transformation programmes or process improvement. Familiarity with automated reporting and data visualisation tools. Experience in commercial negotiations. Job Offer Competitive salary ranging from £50,000 to £59,000 per annum. No set days in the office, however during this transformation phase, most FBP's are working 2-3 days in the office Salary sacrifice pension scheme - defend contribution - 8% employer contributions 28 days holiday (excluding bank holidays) 4x death in service Employee Assistance Programme Flexible benefits (Including Electric Car Lease Scheme and Cycle to Work Schemes)
We're partnering with a leading international business to recruit a Financial Controller that will embed into the controllership team that forms part of their European Shared Service Centre. This is a high-profile role with a clear mandate: transform and elevate the function into a best-in-class, insight-led finance operation. You'll play a pivotal role in shaping how finance supports a complex, multi-entity European business moving from transactional delivery to true value-add. If you're looking for a role where you can drive change, influence senior stakeholders, and build a high-performing team, this is a standout opportunity. Financial Controller - Shared Services - Benefits 25 days Paid holidays Salary Exchange Pension scheme Non Contributory Life Assurance Private Medical Insurance Group Income protection Financial Controller - Shared Services - About The Role Reporting to the Director of European Shared Services, you will take full ownership of the controllership agenda across multiple European entities: Controllership & Financial Leadership Act as the European controllership lead for R2R, ensuring strong governance, consistency and best practice Take accountability for the integrity, accuracy and completeness of financial records Own balance sheet governance, including reconciliations, reviews, risk identification and issue resolution Oversee accruals, provisions, estimate), ensuring robust documentation and review Ensure alignment between management, statutory and tax reporting Financial Close & Day-to-Day Delivery Lead the end-to-end close process (month, quarter, year-end), ensuring deadlines are met with high quality output Manage day-to-day operations within the Controllership team, setting priorities and resolving escalations Review journals, reconciliations and reporting packs, ensuring a "first-time right" approach Drive consistency and discipline across multiple entities and reporting lines Deliver insightful monthly reporting, variance analysis and performance commentary Audit, Compliance & Controls Own the relationship with external auditors, leading audit planning, execution and issue resolution Ensure ongoing SOX compliance and a robust internal control environment Drive a culture of continuous audit readiness and proactive risk management Strengthen and embed financial controls across all processes Leadership & Team Development Lead, coach and develop a high-performing team (c.10-15 FTE), both direct and indirect Set clear objectives, KPIs and service levels across the function Upskill the team from transactional processing to true financial control and analysis Create a culture of accountability, continuous improvement and service excellence Process Improvement & Transformation Drive the standardisation and optimisation of processes across Europe Identify opportunities to improve efficiency, reduce close cycle time and enhance reporting quality Champion automation and better use of systems (SAP S/4HANA, OneStream) Play a key role in ongoing finance transformation and system enhancement initiatives Stakeholder & Business Partnering Act as a key interface between Shared Services, local finance teams and Group Finance Partner with operational and finance stakeholders to improve reporting and support decision-making Translate complex accounting issues into clear, actionable insights Promote the SSC as a value-adding, customer-focused finance function The successful Financial Controller - Shared Services will have: Fully qualified accountant (ACA / ACCA / CIMA or equivalent) Strong controllership background with ownership of financial reporting and close processes Experience in a complex, multi-entity, international environment Strong technical accounting knowledge (IFRS / US GAAP) and controls (SOX preferred) Hands-on leader, comfortable operating both strategically and at detail level Proven track record of process improvement, transformation and team development Strong systems experience (SAP S/4HANA, OneStream or similar preferred) Howett Thorpe are acting as a recruitment agency in relation to this role and comply with all relevant UK legislation and do not discriminate on any protected characteristics. Due to the high volume of applications we currently receive, we are unable to respond to all candidates. If you do not hear from a Consultant within 5 working days, please assume that you have not been successful. Refer a friend If this job is not of interest to you, but you know a friend or colleague who may be interested, recommend them to us and receive a minimum of £100 in vouchers if we assist them in securing a permanent role and a minimum of £25 in vouchers if we place them in a temporary assignment. (Terms & conditions apply)
Apr 18, 2026
Full time
We're partnering with a leading international business to recruit a Financial Controller that will embed into the controllership team that forms part of their European Shared Service Centre. This is a high-profile role with a clear mandate: transform and elevate the function into a best-in-class, insight-led finance operation. You'll play a pivotal role in shaping how finance supports a complex, multi-entity European business moving from transactional delivery to true value-add. If you're looking for a role where you can drive change, influence senior stakeholders, and build a high-performing team, this is a standout opportunity. Financial Controller - Shared Services - Benefits 25 days Paid holidays Salary Exchange Pension scheme Non Contributory Life Assurance Private Medical Insurance Group Income protection Financial Controller - Shared Services - About The Role Reporting to the Director of European Shared Services, you will take full ownership of the controllership agenda across multiple European entities: Controllership & Financial Leadership Act as the European controllership lead for R2R, ensuring strong governance, consistency and best practice Take accountability for the integrity, accuracy and completeness of financial records Own balance sheet governance, including reconciliations, reviews, risk identification and issue resolution Oversee accruals, provisions, estimate), ensuring robust documentation and review Ensure alignment between management, statutory and tax reporting Financial Close & Day-to-Day Delivery Lead the end-to-end close process (month, quarter, year-end), ensuring deadlines are met with high quality output Manage day-to-day operations within the Controllership team, setting priorities and resolving escalations Review journals, reconciliations and reporting packs, ensuring a "first-time right" approach Drive consistency and discipline across multiple entities and reporting lines Deliver insightful monthly reporting, variance analysis and performance commentary Audit, Compliance & Controls Own the relationship with external auditors, leading audit planning, execution and issue resolution Ensure ongoing SOX compliance and a robust internal control environment Drive a culture of continuous audit readiness and proactive risk management Strengthen and embed financial controls across all processes Leadership & Team Development Lead, coach and develop a high-performing team (c.10-15 FTE), both direct and indirect Set clear objectives, KPIs and service levels across the function Upskill the team from transactional processing to true financial control and analysis Create a culture of accountability, continuous improvement and service excellence Process Improvement & Transformation Drive the standardisation and optimisation of processes across Europe Identify opportunities to improve efficiency, reduce close cycle time and enhance reporting quality Champion automation and better use of systems (SAP S/4HANA, OneStream) Play a key role in ongoing finance transformation and system enhancement initiatives Stakeholder & Business Partnering Act as a key interface between Shared Services, local finance teams and Group Finance Partner with operational and finance stakeholders to improve reporting and support decision-making Translate complex accounting issues into clear, actionable insights Promote the SSC as a value-adding, customer-focused finance function The successful Financial Controller - Shared Services will have: Fully qualified accountant (ACA / ACCA / CIMA or equivalent) Strong controllership background with ownership of financial reporting and close processes Experience in a complex, multi-entity, international environment Strong technical accounting knowledge (IFRS / US GAAP) and controls (SOX preferred) Hands-on leader, comfortable operating both strategically and at detail level Proven track record of process improvement, transformation and team development Strong systems experience (SAP S/4HANA, OneStream or similar preferred) Howett Thorpe are acting as a recruitment agency in relation to this role and comply with all relevant UK legislation and do not discriminate on any protected characteristics. Due to the high volume of applications we currently receive, we are unable to respond to all candidates. If you do not hear from a Consultant within 5 working days, please assume that you have not been successful. Refer a friend If this job is not of interest to you, but you know a friend or colleague who may be interested, recommend them to us and receive a minimum of £100 in vouchers if we assist them in securing a permanent role and a minimum of £25 in vouchers if we place them in a temporary assignment. (Terms & conditions apply)
Senior Commercial Finance Manager / Manchester (Hybrid working) / Salary £75,000 - £85,000 + 15% bonus Accountable Recruitment are pleased to be partnering with our client who are a leading organisation within their sector. We are looking for a proactive and commercially focused Senior Commercial Finance Manager to support our clients senior leadership team and partner closely with business unit Directors. This role sits at the centre of financial decision-making, providing insight, challenge, and strategic support to help drive performance across the organisation. Key Responsibilities: Business Partnering & Strategic Support - build strong working relationships with senior stakeholders, offering meaningful financial insight to influence strategic and operational decisions. Partner with Directors to shape annual budgets, track financial performance, and deliver clear, concise reporting including forecasts and variance analysis. Cashflow & Performance Management -oversee and analyse cashflow activity, highlighting emerging issues early and presenting solutions to keep the business on track. Drive improvements in financial and operational performance, reviewing contract results, identifying inefficiencies, and recommending forward-looking actions. Provide financial guidance on new initiatives, commercial bids, and investment proposals. Evaluate risks and opportunities across business units and implement actions that safeguard financial performance and support business growth. Work collaboratively with teams across the organisation to ensure financial objectives are aligned with broader strategic goals. Support process enhancement, helping to strengthen reporting quality, consistency, and financial governance. Responsible for 2 direct reports. Experience & Qualifications Fully qualified accountant (ACA / ACCA / CIMA) Strong background in commercially oriented finance roles, ideally with experience supporting operational leaders or business units. Confident communicator who can translate financial information for non-finance stakeholders and influence effectively. Comfortable working at pace, managing competing priorities, and navigating a dynamic, evolving business environment. Experience of managing finance teams. A collaborative leader with a supportive approach to developing and mentoring colleagues. To discuss this role in more detail please contact Lauren Harrison at Accountable Recruitment on
Apr 18, 2026
Full time
Senior Commercial Finance Manager / Manchester (Hybrid working) / Salary £75,000 - £85,000 + 15% bonus Accountable Recruitment are pleased to be partnering with our client who are a leading organisation within their sector. We are looking for a proactive and commercially focused Senior Commercial Finance Manager to support our clients senior leadership team and partner closely with business unit Directors. This role sits at the centre of financial decision-making, providing insight, challenge, and strategic support to help drive performance across the organisation. Key Responsibilities: Business Partnering & Strategic Support - build strong working relationships with senior stakeholders, offering meaningful financial insight to influence strategic and operational decisions. Partner with Directors to shape annual budgets, track financial performance, and deliver clear, concise reporting including forecasts and variance analysis. Cashflow & Performance Management -oversee and analyse cashflow activity, highlighting emerging issues early and presenting solutions to keep the business on track. Drive improvements in financial and operational performance, reviewing contract results, identifying inefficiencies, and recommending forward-looking actions. Provide financial guidance on new initiatives, commercial bids, and investment proposals. Evaluate risks and opportunities across business units and implement actions that safeguard financial performance and support business growth. Work collaboratively with teams across the organisation to ensure financial objectives are aligned with broader strategic goals. Support process enhancement, helping to strengthen reporting quality, consistency, and financial governance. Responsible for 2 direct reports. Experience & Qualifications Fully qualified accountant (ACA / ACCA / CIMA) Strong background in commercially oriented finance roles, ideally with experience supporting operational leaders or business units. Confident communicator who can translate financial information for non-finance stakeholders and influence effectively. Comfortable working at pace, managing competing priorities, and navigating a dynamic, evolving business environment. Experience of managing finance teams. A collaborative leader with a supportive approach to developing and mentoring colleagues. To discuss this role in more detail please contact Lauren Harrison at Accountable Recruitment on
Based in London's West End, our client is an accountancy firm which specialises in providing accountancy services to clients in the music industry. They are recognised as leaders in their field and count some of the world's biggest bands, DJs and solo artists among their clients. The firm would like to recruit an experienced Manager. In this role, you will be assigned a portfolio of clients from the music industry (which includes bands, solo artists, management companies, record labels and promoters) to manage. Responsibilities will include: - Direct management of a bookkeeping / business management team, which will include planning workloads, reviewing timesheets, overseeing work, and recruitment- Acting as a 'business manager' for high profile clients; looking after their personal finances as well as their business affairs- Tour accounting, budgeting for tours and reconciliation of tour settlements- Overseeing all bookkeeping and VAT work for your clients and their companies- Royalty accounting and analysis- Providing ongoing advice to clients regarding their accounts, taxes and obligations Staff at the firm enjoy flexible working hours, hybrid working and excellent opportunities for progression. You will be joining a friendly and supportive team who truly enjoy their work. To be considered for this opportunity, you must: - Have a minimum of 5 years experience at a UK accountancy firm- Be ACA or ACCA qualified- Have experience of working with clients from the entertainment industry - ideally music This role would suit someone with a background in practice as a Manager / Business Manager / Tour Accountant who has a passion for the music industry. If you are interested in this position and meet the criteria above, please apply today!
Apr 18, 2026
Full time
Based in London's West End, our client is an accountancy firm which specialises in providing accountancy services to clients in the music industry. They are recognised as leaders in their field and count some of the world's biggest bands, DJs and solo artists among their clients. The firm would like to recruit an experienced Manager. In this role, you will be assigned a portfolio of clients from the music industry (which includes bands, solo artists, management companies, record labels and promoters) to manage. Responsibilities will include: - Direct management of a bookkeeping / business management team, which will include planning workloads, reviewing timesheets, overseeing work, and recruitment- Acting as a 'business manager' for high profile clients; looking after their personal finances as well as their business affairs- Tour accounting, budgeting for tours and reconciliation of tour settlements- Overseeing all bookkeeping and VAT work for your clients and their companies- Royalty accounting and analysis- Providing ongoing advice to clients regarding their accounts, taxes and obligations Staff at the firm enjoy flexible working hours, hybrid working and excellent opportunities for progression. You will be joining a friendly and supportive team who truly enjoy their work. To be considered for this opportunity, you must: - Have a minimum of 5 years experience at a UK accountancy firm- Be ACA or ACCA qualified- Have experience of working with clients from the entertainment industry - ideally music This role would suit someone with a background in practice as a Manager / Business Manager / Tour Accountant who has a passion for the music industry. If you are interested in this position and meet the criteria above, please apply today!
Financial Accounting Manager Location: Haddenham Reporting to: Financial Controller Permanent, Full-Time The Opportunity This is a rare chance to join a well-established, internationally backed organisation as a key leader within its Finance & Control function. You'll take ownership of the full accounting cycle, lead a talented team, and play a central role in shaping the integrity and efficiency of financial operations. If you're a qualified finance professional with a track record in financial reporting, compliance, and team leadership - and you're ready to make a genuine impact - we want to hear from you. What You'll Be Doing Financial Close & Reporting Own and manage month-end, quarter-end, and year-end closing processes Ensure all journals, reconciliations, and reports are completed accurately and on time Monitor financial performance against budgets and provide clear variance analysis Team Leadership Lead, coach, and develop a finance team, allocating resource effectively to meet deadlines Delegate confidently and direct the team with clarity and purpose Compliance & Audit Coordinate seamlessly with external and internal audit teams Assist the Controller with statutory accounts preparation and ensure full regulatory compliance Prepare and submit VAT returns and support tax working papers and computations Cross-Functional Collaboration Partner with other departments to align processes and controls Share best practice with peer managers and provide expert guidance on complex accounting transactions What We're Looking For Qualified accountant ACA, ACCA or CIMA, ideally with 3-5 years of post-qualification experience or active studier University degree in a relevant discipline useful Proven people management experience, with the ability to coach and direct a team Strong Excel skills and comfortable managing multiple priorities under tight deadlines Excellent attention to detail, analytical mindset, and a quality-driven approach A confident communicator and natural networker who builds trust across the business Resilient and adaptable, with the ability to handle pressure with professionalism Why This Role? You'll be joining an organisation with genuine substance - global backing, clear process, and a finance function that values both technical excellence and personal development. There is real growth potential here, with the opportunity to step up and broaden your remit as the business evolves. What's On Offer? A starting salary of 50-55k (depending on experience) and potential bonus, good benefits such as enhanced holiday entitlement and pension, private medical, hybrid working and free onsite parking.
Apr 18, 2026
Full time
Financial Accounting Manager Location: Haddenham Reporting to: Financial Controller Permanent, Full-Time The Opportunity This is a rare chance to join a well-established, internationally backed organisation as a key leader within its Finance & Control function. You'll take ownership of the full accounting cycle, lead a talented team, and play a central role in shaping the integrity and efficiency of financial operations. If you're a qualified finance professional with a track record in financial reporting, compliance, and team leadership - and you're ready to make a genuine impact - we want to hear from you. What You'll Be Doing Financial Close & Reporting Own and manage month-end, quarter-end, and year-end closing processes Ensure all journals, reconciliations, and reports are completed accurately and on time Monitor financial performance against budgets and provide clear variance analysis Team Leadership Lead, coach, and develop a finance team, allocating resource effectively to meet deadlines Delegate confidently and direct the team with clarity and purpose Compliance & Audit Coordinate seamlessly with external and internal audit teams Assist the Controller with statutory accounts preparation and ensure full regulatory compliance Prepare and submit VAT returns and support tax working papers and computations Cross-Functional Collaboration Partner with other departments to align processes and controls Share best practice with peer managers and provide expert guidance on complex accounting transactions What We're Looking For Qualified accountant ACA, ACCA or CIMA, ideally with 3-5 years of post-qualification experience or active studier University degree in a relevant discipline useful Proven people management experience, with the ability to coach and direct a team Strong Excel skills and comfortable managing multiple priorities under tight deadlines Excellent attention to detail, analytical mindset, and a quality-driven approach A confident communicator and natural networker who builds trust across the business Resilient and adaptable, with the ability to handle pressure with professionalism Why This Role? You'll be joining an organisation with genuine substance - global backing, clear process, and a finance function that values both technical excellence and personal development. There is real growth potential here, with the opportunity to step up and broaden your remit as the business evolves. What's On Offer? A starting salary of 50-55k (depending on experience) and potential bonus, good benefits such as enhanced holiday entitlement and pension, private medical, hybrid working and free onsite parking.