Finance Leader wanted to join a successful employee-owned organisation due to continued business growth based onsite Aberystwyth, Mid Wales. Salary circa 60k plus twice yearly profit share Join a growing employee-owned organisation Fantastic benefits package What will you be doing as the Finance Lead; Lead and develop the Finance team, creating a high-performing and collaborative working environment. Act as a trusted financial advisor to senior leaders, providing commercial insight to support strategic decision-making. Oversee the preparation of monthly management accounts, financial reporting and analysis. Lead the annual budgeting process and quarterly forecasting across the organisation. Translate complex financial information into meaningful business insights for non-financial stakeholders. Develop financial models, business cases and ROI analysis to support investment decisions and future growth. Manage the month-end close process, ensuring timely and accurate reporting. Identify opportunities to improve and automate financial processes and reporting. Manage relationships with external auditors and support statutory reporting requirements. Work closely with department managers to monitor budgets, performance and financial planning. Drive continuous improvement across the finance function and contribute as a member of the senior leadership team. What do you need for the position of Finance Leader; Qualified Accountant (CIMA, ACA or ACCA). Degree qualified in Finance, Accounting, Economics or a related discipline. Previous experience in a senior finance leadership role. Strong commercial awareness with the ability to influence strategic business decisions. Experience leading and developing finance teams. Excellent communication skills with the ability to explain financial information clearly to colleagues at all levels. Strong systems knowledge, including accounting software, ERP systems, CRM databases and Power BI. Excellent analytical, organisational and problem-solving skills. Ability to prioritise workloads and work to deadlines in a fast-paced environment. Manufacturing, engineering or employee-owned business experience would be advantageous. Proof of Right to Work in the UK will be required (Unfortunately this company is unable to sponsor Visas) What is in it for you; Salary circa 60k Twice-yearly profit share. 20 days holiday plus Bank Holidays, with additional Christmas shutdown leave (approximately five extra days), increasing with service to 26 days. Flexible working arrangements. Enhanced pension scheme. Employee share ownership following successful probation. Life assurance and income protection. Cycle to Work and Electric Vehicle schemes. Ongoing professional development opportunities. Plus much more What to do now Hit the apply button below and we will be in touch or call Claire for a confidential chat on (phone number removed) if you have any other questions FMCG
Jul 08, 2026
Full time
Finance Leader wanted to join a successful employee-owned organisation due to continued business growth based onsite Aberystwyth, Mid Wales. Salary circa 60k plus twice yearly profit share Join a growing employee-owned organisation Fantastic benefits package What will you be doing as the Finance Lead; Lead and develop the Finance team, creating a high-performing and collaborative working environment. Act as a trusted financial advisor to senior leaders, providing commercial insight to support strategic decision-making. Oversee the preparation of monthly management accounts, financial reporting and analysis. Lead the annual budgeting process and quarterly forecasting across the organisation. Translate complex financial information into meaningful business insights for non-financial stakeholders. Develop financial models, business cases and ROI analysis to support investment decisions and future growth. Manage the month-end close process, ensuring timely and accurate reporting. Identify opportunities to improve and automate financial processes and reporting. Manage relationships with external auditors and support statutory reporting requirements. Work closely with department managers to monitor budgets, performance and financial planning. Drive continuous improvement across the finance function and contribute as a member of the senior leadership team. What do you need for the position of Finance Leader; Qualified Accountant (CIMA, ACA or ACCA). Degree qualified in Finance, Accounting, Economics or a related discipline. Previous experience in a senior finance leadership role. Strong commercial awareness with the ability to influence strategic business decisions. Experience leading and developing finance teams. Excellent communication skills with the ability to explain financial information clearly to colleagues at all levels. Strong systems knowledge, including accounting software, ERP systems, CRM databases and Power BI. Excellent analytical, organisational and problem-solving skills. Ability to prioritise workloads and work to deadlines in a fast-paced environment. Manufacturing, engineering or employee-owned business experience would be advantageous. Proof of Right to Work in the UK will be required (Unfortunately this company is unable to sponsor Visas) What is in it for you; Salary circa 60k Twice-yearly profit share. 20 days holiday plus Bank Holidays, with additional Christmas shutdown leave (approximately five extra days), increasing with service to 26 days. Flexible working arrangements. Enhanced pension scheme. Employee share ownership following successful probation. Life assurance and income protection. Cycle to Work and Electric Vehicle schemes. Ongoing professional development opportunities. Plus much more What to do now Hit the apply button below and we will be in touch or call Claire for a confidential chat on (phone number removed) if you have any other questions FMCG
Finance Director Hybrid Working (4 days on-site) Reed is exclusively recruiting for a Finance Director on behalf of our client based in the Medway area. What an opportunity this is to take full autonomy and control in a senior leadership position within a growing and innovative business. The Opportunity This is a pivotal leadership role, offering the chance to shape the financial future of a well-established, international-backed SME with a strong presence in its sector. With full ownership of the finance function and wider operational responsibilities, you will play a critical role in driving strategy, performance, and sustainable growth. About the Business Our client is a highly respected and market-leading supplier within its industry, with a turnover of circa £24m and a team of around 60 employees across multiple UK locations. Key Responsibilities Strategic Leadership Partner with the MD and leadership team to shape and deliver business strategy Provide commercial insight to support pricing, investment, and growth decisions Lead budgeting, forecasting, and long-term planning Identify opportunities for operational improvement and increased profitability Financial Control & Performance Oversee monthly management accounts and financial reporting Manage cash flow, working capital, and financial controls Ensure compliance with statutory, tax, and regulatory requirements Lead audit processes and maintain strong governance frameworks Business Partnering & Reporting Deliver insightful MI and KPI reporting to drive decision-making Analyse financial performance, highlighting risks and opportunities Develop dashboards and reporting tools for senior stakeholders Leadership & Operational Oversight Lead and develop the finance function and broader operational teams Oversee HR and Health & Safety with external support Systems & Transformation Drive improvements in systems and processes Lead a major ERP transformation project over the next 24 months Stakeholder Management Act as the key point of contact for group finance, auditors, and banking partners Present financial results, budgets, and investment plans to group stakeholders What We're Looking For Essential: Qualified accountant (ACA / ACCA / CIMA or equivalent) Proven experience in a senior finance role within an SME environment (£10m-£50m turnover) Strong commercial acumen and business partnering ability A hands-on leader comfortable operating at both strategic and operational levels Experience managing teams and driving performance Strong analytical and financial modelling skills Experience of ERP implementation or finance transformation Desirable: Background in manufacturing, warehousing, or distribution Experience overseeing HR matters Why Apply? True autonomy and ownership of the finance function A seat at the leadership table , shaping business strategy Opportunity to lead transformation and systems improvement projects Work within a growing, forward-thinking organisation backed by an international group A broad and varied role with exposure across finance, operations, HR, and strategy Apply Now If you're an ambitious Finance leader looking to step into a high-impact role with real influence and ownership, we'd love to hear from you. Reed is managing this process on an exclusive basis , so please apply directly to ensure your application is considered.
Jul 08, 2026
Full time
Finance Director Hybrid Working (4 days on-site) Reed is exclusively recruiting for a Finance Director on behalf of our client based in the Medway area. What an opportunity this is to take full autonomy and control in a senior leadership position within a growing and innovative business. The Opportunity This is a pivotal leadership role, offering the chance to shape the financial future of a well-established, international-backed SME with a strong presence in its sector. With full ownership of the finance function and wider operational responsibilities, you will play a critical role in driving strategy, performance, and sustainable growth. About the Business Our client is a highly respected and market-leading supplier within its industry, with a turnover of circa £24m and a team of around 60 employees across multiple UK locations. Key Responsibilities Strategic Leadership Partner with the MD and leadership team to shape and deliver business strategy Provide commercial insight to support pricing, investment, and growth decisions Lead budgeting, forecasting, and long-term planning Identify opportunities for operational improvement and increased profitability Financial Control & Performance Oversee monthly management accounts and financial reporting Manage cash flow, working capital, and financial controls Ensure compliance with statutory, tax, and regulatory requirements Lead audit processes and maintain strong governance frameworks Business Partnering & Reporting Deliver insightful MI and KPI reporting to drive decision-making Analyse financial performance, highlighting risks and opportunities Develop dashboards and reporting tools for senior stakeholders Leadership & Operational Oversight Lead and develop the finance function and broader operational teams Oversee HR and Health & Safety with external support Systems & Transformation Drive improvements in systems and processes Lead a major ERP transformation project over the next 24 months Stakeholder Management Act as the key point of contact for group finance, auditors, and banking partners Present financial results, budgets, and investment plans to group stakeholders What We're Looking For Essential: Qualified accountant (ACA / ACCA / CIMA or equivalent) Proven experience in a senior finance role within an SME environment (£10m-£50m turnover) Strong commercial acumen and business partnering ability A hands-on leader comfortable operating at both strategic and operational levels Experience managing teams and driving performance Strong analytical and financial modelling skills Experience of ERP implementation or finance transformation Desirable: Background in manufacturing, warehousing, or distribution Experience overseeing HR matters Why Apply? True autonomy and ownership of the finance function A seat at the leadership table , shaping business strategy Opportunity to lead transformation and systems improvement projects Work within a growing, forward-thinking organisation backed by an international group A broad and varied role with exposure across finance, operations, HR, and strategy Apply Now If you're an ambitious Finance leader looking to step into a high-impact role with real influence and ownership, we'd love to hear from you. Reed is managing this process on an exclusive basis , so please apply directly to ensure your application is considered.
Reed Finance is partnering with a growing local business looking for a capable Finance Director to lead financial strategy and support business growth. The role is a blend of hands' on and strategic so would suit a senior finance candidate who enjoys getting into the detail. This is a key leadership role, working closely with the CEO and senior team to drive performance, manage risk, and ensure long-term financial sustainability. Key Responsibilities Strategic leadership Develop and deliver the financial strategy aligned to business goals Act as a trusted advisor to the CEO and Board Support major commercial decisions and potential acquisitions Financial management & control Lead budgeting, forecasting, and long-term planning Ensure accurate reporting and strong financial governance Manage cash flow, working capital, and funding requirements Governance, risk & compliance Ensure compliance with regulatory and tax requirements Lead audits and manage external advisors Identify and manage financial and operational risks Commercial insight Provide clear financial analysis to support decision-making Monitor profitability, cost efficiency, and return on investment Develop and track KPIs for business performance Team leadership Lead and develop a high-performing finance function Build a collaborative and accountable team culture Support ongoing development and succession planning About You Experience & skills Strong commercial awareness and strategic thinking Proven experience in senior finance leadership roles Excellent knowledge of financial reporting, planning, and cash management Confident working with senior stakeholders and boards Fully qualified accountant (ACA, ACCA, CIMA or equivalent) 26.02 - Fi Director PDF Personal attributes Clear communicator who can translate numbers into insight Strong decision-maker with sound judgement Resilient and adaptable in a fast-paced environment Collaborative leadership style with high integrity 26.02 - Fi Director PDF What's on Offer Competitive salary and bonus scheme 30 days holiday plus bank holidays and additional time off over Christmas Birthday leave Pension scheme and enhanced family leave Health and wellbeing support On-site gym access or wellness benefits Ongoing development and career progression opportunities 26.02 - Fi Director PDF If you're a hands' on, commercially minded Finance Director looking to make a real impact at a senior level, we'd love to hear from you.
Jul 08, 2026
Full time
Reed Finance is partnering with a growing local business looking for a capable Finance Director to lead financial strategy and support business growth. The role is a blend of hands' on and strategic so would suit a senior finance candidate who enjoys getting into the detail. This is a key leadership role, working closely with the CEO and senior team to drive performance, manage risk, and ensure long-term financial sustainability. Key Responsibilities Strategic leadership Develop and deliver the financial strategy aligned to business goals Act as a trusted advisor to the CEO and Board Support major commercial decisions and potential acquisitions Financial management & control Lead budgeting, forecasting, and long-term planning Ensure accurate reporting and strong financial governance Manage cash flow, working capital, and funding requirements Governance, risk & compliance Ensure compliance with regulatory and tax requirements Lead audits and manage external advisors Identify and manage financial and operational risks Commercial insight Provide clear financial analysis to support decision-making Monitor profitability, cost efficiency, and return on investment Develop and track KPIs for business performance Team leadership Lead and develop a high-performing finance function Build a collaborative and accountable team culture Support ongoing development and succession planning About You Experience & skills Strong commercial awareness and strategic thinking Proven experience in senior finance leadership roles Excellent knowledge of financial reporting, planning, and cash management Confident working with senior stakeholders and boards Fully qualified accountant (ACA, ACCA, CIMA or equivalent) 26.02 - Fi Director PDF Personal attributes Clear communicator who can translate numbers into insight Strong decision-maker with sound judgement Resilient and adaptable in a fast-paced environment Collaborative leadership style with high integrity 26.02 - Fi Director PDF What's on Offer Competitive salary and bonus scheme 30 days holiday plus bank holidays and additional time off over Christmas Birthday leave Pension scheme and enhanced family leave Health and wellbeing support On-site gym access or wellness benefits Ongoing development and career progression opportunities 26.02 - Fi Director PDF If you're a hands' on, commercially minded Finance Director looking to make a real impact at a senior level, we'd love to hear from you.
Finance Analyst Our client is a growing multi-site business looking to appoint a Finance Analyst to join their finance team. This is an excellent opportunity for someone early in their finance career who enjoys working with data, solving problems and finding better ways of doing things. Working closely with the Management Accountant, you will help deliver meaningful financial analysis while supporting projects focused on improving reporting, processes and business efficiency. The role offers exposure to senior stakeholders, modern reporting tools and emerging technologies, making it an ideal next step for someone looking to develop a career in commercial finance and analysis. Key Responsibilities Financial Analysis Produce regular financial and operational reports to support decision-making. Analyse business performance, trends and key financial metrics. Assist with monthly management reporting and performance analysis. Support budgeting and forecasting activities. Investigate variances and provide insight into business performance. Help develop dashboards and management information for stakeholders across the business. Process Improvement & Technology Identify opportunities to improve processes and reduce manual administration. Support projects focused on automation, reporting improvements and business efficiency. Work with finance and operational teams to improve the quality and accessibility of business data. Assist with the development of reporting tools and management information. Explore how new technologies can be used to improve reporting, analysis and day-to-day processes. Contribute ideas and recommendations to help the business work smarter and more effectively. Team Support Work closely with the Management Accountant on a variety of finance and business improvement projects. Support the wider finance team with ad hoc reporting and analysis. Build strong relationships with colleagues across the business. About You Previous experience within finance, administration, data analysis or a business support role would be beneficial. Strong Excel skills and confidence working with data. Naturally analytical with good attention to detail. Curious and eager to learn new systems, technologies and ways of working. Interested in AI, automation and process improvement. Organised, proactive and able to manage your own workload. Strong communication skills and a positive, team-focused attitude. What's on Offer? Excellent opportunity to develop a career in finance and analysis. Exposure to senior stakeholders and business decision-making. Involvement in reporting, automation and process improvement projects. Supportive environment with ongoing learning and development opportunities. Opportunity to grow with a successful and expanding multi-site business. Salary up to £35,000 + benefits
Jul 08, 2026
Full time
Finance Analyst Our client is a growing multi-site business looking to appoint a Finance Analyst to join their finance team. This is an excellent opportunity for someone early in their finance career who enjoys working with data, solving problems and finding better ways of doing things. Working closely with the Management Accountant, you will help deliver meaningful financial analysis while supporting projects focused on improving reporting, processes and business efficiency. The role offers exposure to senior stakeholders, modern reporting tools and emerging technologies, making it an ideal next step for someone looking to develop a career in commercial finance and analysis. Key Responsibilities Financial Analysis Produce regular financial and operational reports to support decision-making. Analyse business performance, trends and key financial metrics. Assist with monthly management reporting and performance analysis. Support budgeting and forecasting activities. Investigate variances and provide insight into business performance. Help develop dashboards and management information for stakeholders across the business. Process Improvement & Technology Identify opportunities to improve processes and reduce manual administration. Support projects focused on automation, reporting improvements and business efficiency. Work with finance and operational teams to improve the quality and accessibility of business data. Assist with the development of reporting tools and management information. Explore how new technologies can be used to improve reporting, analysis and day-to-day processes. Contribute ideas and recommendations to help the business work smarter and more effectively. Team Support Work closely with the Management Accountant on a variety of finance and business improvement projects. Support the wider finance team with ad hoc reporting and analysis. Build strong relationships with colleagues across the business. About You Previous experience within finance, administration, data analysis or a business support role would be beneficial. Strong Excel skills and confidence working with data. Naturally analytical with good attention to detail. Curious and eager to learn new systems, technologies and ways of working. Interested in AI, automation and process improvement. Organised, proactive and able to manage your own workload. Strong communication skills and a positive, team-focused attitude. What's on Offer? Excellent opportunity to develop a career in finance and analysis. Exposure to senior stakeholders and business decision-making. Involvement in reporting, automation and process improvement projects. Supportive environment with ongoing learning and development opportunities. Opportunity to grow with a successful and expanding multi-site business. Salary up to £35,000 + benefits
Financial Controller About the Role We are seeking an experienced and commercially minded Financial Controller to lead our finance function and play a key role in supporting the business's continued growth and success. Reporting to senior leadership, you will be responsible for the integrity of financial reporting, cash flow management, budgeting and forecasting, financial controls, and team leadership. This is an excellent opportunity for a qualified accountant who enjoys combining strong technical expertise with commercial insight and people management. The successful candidate will lead month-end and year-end processes, oversee Accounts Payable and Credit Control teams, drive process improvements, and provide strategic financial support across the organisation. Key Responsibilities Financial Reporting & Management Accounts Lead monthly, quarterly, and annual financial close processes. Ensure accurate and timely production of management accounts. Deliver meaningful financial analysis and commentary to senior management. Maintain compliance with accounting standards, internal controls, and company policies. Cash Flow & Working Capital Management Monitor and manage daily cash flow and liquidity. Prepare and maintain rolling cash flow forecasts. Drive improvements in working capital performance. Manage banking relationships and support funding requirements. Budgeting, Forecasting & Financial Planning Lead the annual budget and periodic forecasting processes. Partner with departmental leaders to monitor financial performance. Analyse variances and provide commercial recommendations. Support strategic decision-making through financial modelling and business analysis. Financial Controls, Compliance & Audit Maintain robust financial controls and governance frameworks. Coordinate external audits and statutory reporting requirements. Ensure compliance with tax, VAT, and regulatory obligations. Identify and implement process and system improvements. Team Leadership & Development Lead, mentor, and develop finance team members. Foster a high-performing, collaborative finance culture. Drive automation, reporting enhancements, and operational efficiencies. Support continuous professional development across the finance team. Credit Control Leadership Manage and develop the Credit Control function. Oversee debt collection strategies and customer account management. Minimise bad debt exposure through effective controls and processes. Ensure timely escalation and resolution of overdue accounts. Accounts Payable Leadership Oversee the Accounts Payable function and supplier payment processes. Ensure accurate invoice processing and approval workflows. Maintain strong supplier relationships. Strengthen controls across the purchase-to-pay cycle. About You You will be a proactive and commercially focused finance professional with strong leadership skills and a passion for driving continuous improvement. Qualifications Fully qualified accountant (ACA, ACCA, CIMA or equivalent). Degree in Accounting, Finance, Business, or a related discipline preferred. Strong knowledge of UK GAAP, IFRS, and financial reporting standards. Advanced Excel skills and experience using financial systems. Experience with ERP systems such as Sage 200, Microsoft Dynamics 365, or similar platforms is desirable. Experience Minimum 5 7 years' finance experience. At least 2 3 years in a senior finance leadership role such as Financial Controller, Finance Manager, Senior Management Accountant, or Assistant Financial Controller. Proven experience managing month-end and year-end close processes. Strong background in budgeting, forecasting, management reporting, and cash flow management. Demonstrable experience managing Accounts Payable and Credit Control teams. Experience leading audits, statutory compliance, and financial control improvements. Experience within a fast-paced or multi-entity environment is advantageous. Skills & Competencies Excellent leadership and people management skills. Strong analytical and problem-solving abilities. Exceptional attention to detail and accuracy. Ability to communicate financial information effectively to non-financial stakeholders. Strong organisational and time management skills. Commercially aware with a strong business partnering approach. Proactive mindset with a focus on process improvement and automation. What We Offer Competitive salary and benefits package. Opportunity to play a key role in a growing organisation. Collaborative and supportive working environment. Career development and progression opportunities. The chance to influence strategic decision-making and drive business performance.
Jul 08, 2026
Full time
Financial Controller About the Role We are seeking an experienced and commercially minded Financial Controller to lead our finance function and play a key role in supporting the business's continued growth and success. Reporting to senior leadership, you will be responsible for the integrity of financial reporting, cash flow management, budgeting and forecasting, financial controls, and team leadership. This is an excellent opportunity for a qualified accountant who enjoys combining strong technical expertise with commercial insight and people management. The successful candidate will lead month-end and year-end processes, oversee Accounts Payable and Credit Control teams, drive process improvements, and provide strategic financial support across the organisation. Key Responsibilities Financial Reporting & Management Accounts Lead monthly, quarterly, and annual financial close processes. Ensure accurate and timely production of management accounts. Deliver meaningful financial analysis and commentary to senior management. Maintain compliance with accounting standards, internal controls, and company policies. Cash Flow & Working Capital Management Monitor and manage daily cash flow and liquidity. Prepare and maintain rolling cash flow forecasts. Drive improvements in working capital performance. Manage banking relationships and support funding requirements. Budgeting, Forecasting & Financial Planning Lead the annual budget and periodic forecasting processes. Partner with departmental leaders to monitor financial performance. Analyse variances and provide commercial recommendations. Support strategic decision-making through financial modelling and business analysis. Financial Controls, Compliance & Audit Maintain robust financial controls and governance frameworks. Coordinate external audits and statutory reporting requirements. Ensure compliance with tax, VAT, and regulatory obligations. Identify and implement process and system improvements. Team Leadership & Development Lead, mentor, and develop finance team members. Foster a high-performing, collaborative finance culture. Drive automation, reporting enhancements, and operational efficiencies. Support continuous professional development across the finance team. Credit Control Leadership Manage and develop the Credit Control function. Oversee debt collection strategies and customer account management. Minimise bad debt exposure through effective controls and processes. Ensure timely escalation and resolution of overdue accounts. Accounts Payable Leadership Oversee the Accounts Payable function and supplier payment processes. Ensure accurate invoice processing and approval workflows. Maintain strong supplier relationships. Strengthen controls across the purchase-to-pay cycle. About You You will be a proactive and commercially focused finance professional with strong leadership skills and a passion for driving continuous improvement. Qualifications Fully qualified accountant (ACA, ACCA, CIMA or equivalent). Degree in Accounting, Finance, Business, or a related discipline preferred. Strong knowledge of UK GAAP, IFRS, and financial reporting standards. Advanced Excel skills and experience using financial systems. Experience with ERP systems such as Sage 200, Microsoft Dynamics 365, or similar platforms is desirable. Experience Minimum 5 7 years' finance experience. At least 2 3 years in a senior finance leadership role such as Financial Controller, Finance Manager, Senior Management Accountant, or Assistant Financial Controller. Proven experience managing month-end and year-end close processes. Strong background in budgeting, forecasting, management reporting, and cash flow management. Demonstrable experience managing Accounts Payable and Credit Control teams. Experience leading audits, statutory compliance, and financial control improvements. Experience within a fast-paced or multi-entity environment is advantageous. Skills & Competencies Excellent leadership and people management skills. Strong analytical and problem-solving abilities. Exceptional attention to detail and accuracy. Ability to communicate financial information effectively to non-financial stakeholders. Strong organisational and time management skills. Commercially aware with a strong business partnering approach. Proactive mindset with a focus on process improvement and automation. What We Offer Competitive salary and benefits package. Opportunity to play a key role in a growing organisation. Collaborative and supportive working environment. Career development and progression opportunities. The chance to influence strategic decision-making and drive business performance.
FP&A Manager (Interim - 2 Month Assignment) Location: Hybrid Working - Oxfordshire Rate: £350 - £400 per day (Umbrella) Duration: 2 Months About the Organisation Our client is a growing organisation, seeking an experienced FP&A Manager to provide additional support during a busy period. This is an excellent opportunity to join a collaborative finance team and work closely with senior stakeholders, delivering meaningful financial insight to support business performance and decision-making. They believe in open communication and transparency, building trust and fostering strong relationships with employees and stakeholders. About the Role This interim assignment will focus on the core FP&A and business-as-usual responsibilities, supporting budgeting, forecasting, financial analysis and management reporting. Working alongside senior finance leaders, you will provide commercial insight and help drive informed business decisions through high-quality financial planning and performance analysis. Duties will include: Leading budgeting, forecasting and reforecasting activities across the business. Producing and enhancing management reporting, performance dashboards and KPI analysis. Delivering detailed variance analysis and identifying key financial trends, risks and opportunities. Developing and maintaining financial models to support forecasting, cash flow planning and profitability analysis. Analysing monthly financial results and presenting findings to senior stakeholders. Providing commercial insight to support operational and strategic decision-making. Partnering with business leaders to improve financial understanding and performance visibility. Supporting business planning activities through scenario modelling and financial analysis. Assisting with the preparation of executive-level financial information and reporting packs. About the Successful Applicant You will be a fully qualified accountant (ACA, ACCA or CIMA) with strong experience in FP&A, budgeting, forecasting and financial modelling. You will possess excellent analytical skills, be comfortable working with senior stakeholders and have a proven ability to translate financial data into clear commercial insight. Previous experience producing management reporting and performance analysis within a fast-paced environment is essential. What You Will Receive in Return In return, you will secure a 2-month interim assignment offering a competitive day rate of £350 - £400 per day (Umbrella) , flexible hybrid working arrangements and the opportunity to work closely with senior finance leadership in a commercially focused environment where your expertise will have immediate impact.
Jul 08, 2026
Contractor
FP&A Manager (Interim - 2 Month Assignment) Location: Hybrid Working - Oxfordshire Rate: £350 - £400 per day (Umbrella) Duration: 2 Months About the Organisation Our client is a growing organisation, seeking an experienced FP&A Manager to provide additional support during a busy period. This is an excellent opportunity to join a collaborative finance team and work closely with senior stakeholders, delivering meaningful financial insight to support business performance and decision-making. They believe in open communication and transparency, building trust and fostering strong relationships with employees and stakeholders. About the Role This interim assignment will focus on the core FP&A and business-as-usual responsibilities, supporting budgeting, forecasting, financial analysis and management reporting. Working alongside senior finance leaders, you will provide commercial insight and help drive informed business decisions through high-quality financial planning and performance analysis. Duties will include: Leading budgeting, forecasting and reforecasting activities across the business. Producing and enhancing management reporting, performance dashboards and KPI analysis. Delivering detailed variance analysis and identifying key financial trends, risks and opportunities. Developing and maintaining financial models to support forecasting, cash flow planning and profitability analysis. Analysing monthly financial results and presenting findings to senior stakeholders. Providing commercial insight to support operational and strategic decision-making. Partnering with business leaders to improve financial understanding and performance visibility. Supporting business planning activities through scenario modelling and financial analysis. Assisting with the preparation of executive-level financial information and reporting packs. About the Successful Applicant You will be a fully qualified accountant (ACA, ACCA or CIMA) with strong experience in FP&A, budgeting, forecasting and financial modelling. You will possess excellent analytical skills, be comfortable working with senior stakeholders and have a proven ability to translate financial data into clear commercial insight. Previous experience producing management reporting and performance analysis within a fast-paced environment is essential. What You Will Receive in Return In return, you will secure a 2-month interim assignment offering a competitive day rate of £350 - £400 per day (Umbrella) , flexible hybrid working arrangements and the opportunity to work closely with senior finance leadership in a commercially focused environment where your expertise will have immediate impact.
Senior Finance Business Partner Near Sandy, Bedfordshire Circa 75,000 - 85,000 (Depending on experience) Are you an experienced finance professional who enjoys influencing strategic decisions rather than simply reporting the numbers? Do you thrive on partnering with senior leaders, challenging performance and driving commercial success? We're recruiting a commercially focused Senior Finance Business Partner to support the UK business of a successful international organisation with UK annual revenues of approximately 50 million. Reporting directly to the internationally based Group Finance Director, you'll be the senior finance lead for the UK operation and a key member of the UK Management Team, providing financial leadership, commercial insight and strategic support across the business. This is a highly visible role where you'll influence decision-making, shape business strategy and help drive the continued success of a well-established and growing UK operation. The Role As the Senior Finance Business Partner, you'll act as the trusted financial adviser to the UK leadership team, ensuring robust financial planning, insightful reporting and commercial decision support. Working closely with the Group Finance Director and central Shared Service Centre, you'll take ownership of the UK financial performance while supporting wider business objectives. This role is focused on commercial finance and business partnering, providing financial leadership across the UK business while transactional finance activities are managed through a central Shared Service Centre. Key Responsibilities Act as the senior finance representative for the UK business and an active member of the UK Management Team. Partner with Commercial, Operations and Supply Chain leaders to improve profitability, performance and strategic decision making. Produce monthly management accounts, financial reporting and performance analysis for the UK business. Lead the budgeting, forecasting and long-range planning processes. Deliver insightful variance analysis and KPI reporting, providing clear commentary on trading performance and business drivers. Present financial results, forecasts and business performance updates to the UK leadership team and Group Finance Director. Challenge and support departmental managers to improve financial performance and achieve budget objectives. Identify commercial risks and opportunities, providing proactive recommendations to support sustainable growth. Support pricing decisions, investment appraisals, contract reviews and business case development. Lead the UK month-end close, ensuring accurate financial reporting and compliance with Group reporting requirements. Complete balance sheet reconciliations and maintain the fixed asset register. Support the annual audit process and statutory reporting requirements. Drive continuous improvement in financial reporting, systems, controls and business processes. Build strong relationships with the Group Shared Service Centre to ensure the timely delivery of high-quality financial information and effective financial governance. About You You'll be a qualified accountant (ACA, ACCA or CIMA) with experience operating in a commercially focused finance role where you've successfully partnered with senior stakeholders. You'll also bring: Strong management accounting, budgeting and forecasting experience. Excellent commercial acumen with the confidence to challenge and influence senior leaders. Proven experience partnering with operational, commercial and supply chain teams. Strong analytical skills with the ability to translate financial data into meaningful commercial insight. Excellent communication, presentation and stakeholder management skills. Advanced Excel skills and experience using ERP and financial reporting systems. Experience working within an international or multi-site organisation would be advantageous. Experience within a product-based business where stockholding, warehousing, logistics and B2B sales are key drivers of business performance. A strong understanding of inventory management, working capital, gross margin analysis and operational performance metrics. Experience supporting distribution, wholesale, manufacturing, engineering, industrial, FMCG or other product-led businesses would be highly advantageous. Why Join? This is an opportunity to become the financial lead for a significant UK operation within a successful international group. You'll enjoy genuine exposure to senior leadership, influence key commercial decisions and play an integral role in shaping the financial performance and future growth of the business. In return you'll receive a competitive salary, performance-related bonus, comprehensive benefits package, hybrid working and genuine opportunities for career development within a growing international organisation. AGY - Vitae Financial Recruitment We Exist To Be Different - Membership NOT Registration
Jul 08, 2026
Full time
Senior Finance Business Partner Near Sandy, Bedfordshire Circa 75,000 - 85,000 (Depending on experience) Are you an experienced finance professional who enjoys influencing strategic decisions rather than simply reporting the numbers? Do you thrive on partnering with senior leaders, challenging performance and driving commercial success? We're recruiting a commercially focused Senior Finance Business Partner to support the UK business of a successful international organisation with UK annual revenues of approximately 50 million. Reporting directly to the internationally based Group Finance Director, you'll be the senior finance lead for the UK operation and a key member of the UK Management Team, providing financial leadership, commercial insight and strategic support across the business. This is a highly visible role where you'll influence decision-making, shape business strategy and help drive the continued success of a well-established and growing UK operation. The Role As the Senior Finance Business Partner, you'll act as the trusted financial adviser to the UK leadership team, ensuring robust financial planning, insightful reporting and commercial decision support. Working closely with the Group Finance Director and central Shared Service Centre, you'll take ownership of the UK financial performance while supporting wider business objectives. This role is focused on commercial finance and business partnering, providing financial leadership across the UK business while transactional finance activities are managed through a central Shared Service Centre. Key Responsibilities Act as the senior finance representative for the UK business and an active member of the UK Management Team. Partner with Commercial, Operations and Supply Chain leaders to improve profitability, performance and strategic decision making. Produce monthly management accounts, financial reporting and performance analysis for the UK business. Lead the budgeting, forecasting and long-range planning processes. Deliver insightful variance analysis and KPI reporting, providing clear commentary on trading performance and business drivers. Present financial results, forecasts and business performance updates to the UK leadership team and Group Finance Director. Challenge and support departmental managers to improve financial performance and achieve budget objectives. Identify commercial risks and opportunities, providing proactive recommendations to support sustainable growth. Support pricing decisions, investment appraisals, contract reviews and business case development. Lead the UK month-end close, ensuring accurate financial reporting and compliance with Group reporting requirements. Complete balance sheet reconciliations and maintain the fixed asset register. Support the annual audit process and statutory reporting requirements. Drive continuous improvement in financial reporting, systems, controls and business processes. Build strong relationships with the Group Shared Service Centre to ensure the timely delivery of high-quality financial information and effective financial governance. About You You'll be a qualified accountant (ACA, ACCA or CIMA) with experience operating in a commercially focused finance role where you've successfully partnered with senior stakeholders. You'll also bring: Strong management accounting, budgeting and forecasting experience. Excellent commercial acumen with the confidence to challenge and influence senior leaders. Proven experience partnering with operational, commercial and supply chain teams. Strong analytical skills with the ability to translate financial data into meaningful commercial insight. Excellent communication, presentation and stakeholder management skills. Advanced Excel skills and experience using ERP and financial reporting systems. Experience working within an international or multi-site organisation would be advantageous. Experience within a product-based business where stockholding, warehousing, logistics and B2B sales are key drivers of business performance. A strong understanding of inventory management, working capital, gross margin analysis and operational performance metrics. Experience supporting distribution, wholesale, manufacturing, engineering, industrial, FMCG or other product-led businesses would be highly advantageous. Why Join? This is an opportunity to become the financial lead for a significant UK operation within a successful international group. You'll enjoy genuine exposure to senior leadership, influence key commercial decisions and play an integral role in shaping the financial performance and future growth of the business. In return you'll receive a competitive salary, performance-related bonus, comprehensive benefits package, hybrid working and genuine opportunities for career development within a growing international organisation. AGY - Vitae Financial Recruitment We Exist To Be Different - Membership NOT Registration
CMA Recruitment Group is partnering with a well-established, privately backed organisation to recruit a Financial Controller for their Hampshire-based operation.This is a pivotal appointment, offering the opportunity to take full ownership of finance working closely with senior leadership, this position blends technical finance leadership with hands-on commercial involvement, making it ideal for an experienced finance professional who enjoys influencing operational decision-making and driving business performance. What will the Financial Controller role involve? Taking full responsibility for the financial management of a regional business unit, delivering accurate and timely monthly reporting, forecasts and year-end outputs Leading the finance team to ensure strong controls, balance sheet integrity and effective day-to-day finance operations Acting as a trusted business partner to operational leaders, providing insight to improve contract performance, margins and cash flow Supporting bids, renewals and pricing decisions through robust financial modelling and risk analysis Driving improvements in cash flow and working capital, working closely with credit control and operational stakeholders Identifying and implementing process improvements to enhance efficiency, reporting quality and financial control Suitable Candidate for the Financial Controller vacancy: Professionally qualified accountant (ACA, ACCA or CIMA) Proven experience operating at Financial Controller level or within a senior finance leadership role Strong commercial acumen with a track record of partnering operational teams in contract-led environments Confident communicator, able to challenge and influence senior stakeholders Systems experience including ERP platforms and advanced Excel skills Additional benefits and information for the role of Financial Controller: Competitive salary package with performance-related bonus, depending on experience Car allowance Private medical insurance Pension scheme 25 days annual leave plus bank holidays CMA Recruitment Group is acting as a recruitment agency in relation to this role. CMA complies with all relevant UK legislation and doesn't discriminate on any protected characteristics. By completing the application process, you agree to the terms outlined in our Privacy Notice and that CMA may contact you in connection with your application in relation to CMA providing you with work finding services. Our Privacy Notice can be viewed under the privacy tab on our website. CMA is currently receiving a high volume of applications. Whilst we ensure all applications are considered, regrettably, it may not be possible to respond individually to all applications received.
Jul 08, 2026
Full time
CMA Recruitment Group is partnering with a well-established, privately backed organisation to recruit a Financial Controller for their Hampshire-based operation.This is a pivotal appointment, offering the opportunity to take full ownership of finance working closely with senior leadership, this position blends technical finance leadership with hands-on commercial involvement, making it ideal for an experienced finance professional who enjoys influencing operational decision-making and driving business performance. What will the Financial Controller role involve? Taking full responsibility for the financial management of a regional business unit, delivering accurate and timely monthly reporting, forecasts and year-end outputs Leading the finance team to ensure strong controls, balance sheet integrity and effective day-to-day finance operations Acting as a trusted business partner to operational leaders, providing insight to improve contract performance, margins and cash flow Supporting bids, renewals and pricing decisions through robust financial modelling and risk analysis Driving improvements in cash flow and working capital, working closely with credit control and operational stakeholders Identifying and implementing process improvements to enhance efficiency, reporting quality and financial control Suitable Candidate for the Financial Controller vacancy: Professionally qualified accountant (ACA, ACCA or CIMA) Proven experience operating at Financial Controller level or within a senior finance leadership role Strong commercial acumen with a track record of partnering operational teams in contract-led environments Confident communicator, able to challenge and influence senior stakeholders Systems experience including ERP platforms and advanced Excel skills Additional benefits and information for the role of Financial Controller: Competitive salary package with performance-related bonus, depending on experience Car allowance Private medical insurance Pension scheme 25 days annual leave plus bank holidays CMA Recruitment Group is acting as a recruitment agency in relation to this role. CMA complies with all relevant UK legislation and doesn't discriminate on any protected characteristics. By completing the application process, you agree to the terms outlined in our Privacy Notice and that CMA may contact you in connection with your application in relation to CMA providing you with work finding services. Our Privacy Notice can be viewed under the privacy tab on our website. CMA is currently receiving a high volume of applications. Whilst we ensure all applications are considered, regrettably, it may not be possible to respond individually to all applications received.
Finance Assistant Hybrid Working (3 days office / 2 days WFH)£25,000 - £37,000 DOE + Study SupportPermanent A fantastic opportunity has arisen for a Finance Assistant to join a growing finance team within a fast-paced commercial environment. This position would suit someone with at least 12 months' experience in an accounts-related role, an AAT studier looking to gain practical finance experience, or a recent Finance & Accounting graduate looking for their first step into industry. Key Responsibilities: Raising and reconciling customer invoices relating to commercial funding and rebates Supporting the management of commercial debt and aged debtor reporting Liaising with internal stakeholders and external customers to resolve invoice queries Producing weekly and monthly reports for finance and commercial teams Maintaining and managing data across ERP and finance systems Supporting the implementation and administration of a new rebate management system Assisting with ad hoc commercial finance activities and reporting requirements What We're Looking For: Minimum 1 year's experience within Accounts Receivable, Credit Control, Finance Administration, Accounts Assistant or a similar finance role, OR a relevant Finance graduate Strong Excel skills (Pivot Tables, VLOOKUP/XLOOKUP, formulas) Excellent attention to detail and organisational skills Confident communication skills Ability to work in a structured, process-driven environment A proactive approach and willingness to learn Desirable: Credit Control experience AAT studies or other accountancy qualifications Experience using ERP or finance systems Exposure to rebates, supplier income, commercial finance or reporting This is an excellent opportunity for someone looking to develop a long-term career within finance whilst receiving study support and exposure to a highly commercial environment. This is only one of many vacancies we are handling. Alexander Lloyd is the leading recruiter across a range of roles within the Finance and Accountancy space. From part to fully qualified accountants within Financial Reporting, Management Accounts, FP&A, commercial finance up to Director level throughout Surrey, Sussex, London & Kent. Due to the high amount of interest that we receive for each of our roles unfortunately we cannot respond to each application individually, therefore if you do not hear back from one of our consultants you have not been shortlisted for this role. Please continue to check our website for any other roles which may be of interest.
Jul 07, 2026
Full time
Finance Assistant Hybrid Working (3 days office / 2 days WFH)£25,000 - £37,000 DOE + Study SupportPermanent A fantastic opportunity has arisen for a Finance Assistant to join a growing finance team within a fast-paced commercial environment. This position would suit someone with at least 12 months' experience in an accounts-related role, an AAT studier looking to gain practical finance experience, or a recent Finance & Accounting graduate looking for their first step into industry. Key Responsibilities: Raising and reconciling customer invoices relating to commercial funding and rebates Supporting the management of commercial debt and aged debtor reporting Liaising with internal stakeholders and external customers to resolve invoice queries Producing weekly and monthly reports for finance and commercial teams Maintaining and managing data across ERP and finance systems Supporting the implementation and administration of a new rebate management system Assisting with ad hoc commercial finance activities and reporting requirements What We're Looking For: Minimum 1 year's experience within Accounts Receivable, Credit Control, Finance Administration, Accounts Assistant or a similar finance role, OR a relevant Finance graduate Strong Excel skills (Pivot Tables, VLOOKUP/XLOOKUP, formulas) Excellent attention to detail and organisational skills Confident communication skills Ability to work in a structured, process-driven environment A proactive approach and willingness to learn Desirable: Credit Control experience AAT studies or other accountancy qualifications Experience using ERP or finance systems Exposure to rebates, supplier income, commercial finance or reporting This is an excellent opportunity for someone looking to develop a long-term career within finance whilst receiving study support and exposure to a highly commercial environment. This is only one of many vacancies we are handling. Alexander Lloyd is the leading recruiter across a range of roles within the Finance and Accountancy space. From part to fully qualified accountants within Financial Reporting, Management Accounts, FP&A, commercial finance up to Director level throughout Surrey, Sussex, London & Kent. Due to the high amount of interest that we receive for each of our roles unfortunately we cannot respond to each application individually, therefore if you do not hear back from one of our consultants you have not been shortlisted for this role. Please continue to check our website for any other roles which may be of interest.
IPS Finance is working exclusively with a privately owned business based in North Yorkshire. The group operates across a range of commercial activities and is at an active stage of growth and investment. Turnover currently sits at circa £6 million, with the business expanding both organically and through new commercial ventures. This role represents a genuine opportunity to step into the lead finance position within the organisation. The Finance Manager will take full ownership of the finance function, reporting directly to the Directors and working closely alongside them as a trusted operator and commercially minded contributor. The Role This is a hands on position covering end-to-end financial management across the group covering management accounts, balance sheet reconciliations, VAT returns, cashflow forecasting, payroll administration, AR and AP ledgers, supplier payments, and liaison with external accountants on yearend matters. During busy periods you will be supported by interim resource. Beyond the transactional, the role carries genuine commercial weight. You will work directly with the Directors to analyse performance, present findings, and contribute to business decisions, as well as assess existing processes and implement improvements where appropriate. What We Are Looking For Experience within an owner managed or SME environment is preferred. You will be comfortable working at pace, managing your own priorities, and operating autonomously. Experience of group accounting or intercompany transactions would be an advantage. The Directors are looking for someone reliable, straightforward, and commercially switched on. Someone who will engage with the business rather than simply report on it. The Opportunity This level of responsibility and visibility is not easy to find within the region at this salary level. The successful candidate will be the most senior finance professional in the organisation, with direct access to the owners and genuine scope to shape how finance supports a growing business. Key attractions include: Lead finance position within the organisation Direct access to the Directors and business owners Involvement in growth and investment initiatives Genuine autonomy to improve processes and influence decision making Salary is competitive and dependent on experience, with further progression as the individual and role develops. IPS Finance has 45 years' experience in the Yorkshire accountancy recruitment market. We have built our business on long term relationships with both individuals and clients across all sectors. Please visit our website to view our latest accountancy, finance, and practice opportunities.
Jul 07, 2026
Full time
IPS Finance is working exclusively with a privately owned business based in North Yorkshire. The group operates across a range of commercial activities and is at an active stage of growth and investment. Turnover currently sits at circa £6 million, with the business expanding both organically and through new commercial ventures. This role represents a genuine opportunity to step into the lead finance position within the organisation. The Finance Manager will take full ownership of the finance function, reporting directly to the Directors and working closely alongside them as a trusted operator and commercially minded contributor. The Role This is a hands on position covering end-to-end financial management across the group covering management accounts, balance sheet reconciliations, VAT returns, cashflow forecasting, payroll administration, AR and AP ledgers, supplier payments, and liaison with external accountants on yearend matters. During busy periods you will be supported by interim resource. Beyond the transactional, the role carries genuine commercial weight. You will work directly with the Directors to analyse performance, present findings, and contribute to business decisions, as well as assess existing processes and implement improvements where appropriate. What We Are Looking For Experience within an owner managed or SME environment is preferred. You will be comfortable working at pace, managing your own priorities, and operating autonomously. Experience of group accounting or intercompany transactions would be an advantage. The Directors are looking for someone reliable, straightforward, and commercially switched on. Someone who will engage with the business rather than simply report on it. The Opportunity This level of responsibility and visibility is not easy to find within the region at this salary level. The successful candidate will be the most senior finance professional in the organisation, with direct access to the owners and genuine scope to shape how finance supports a growing business. Key attractions include: Lead finance position within the organisation Direct access to the Directors and business owners Involvement in growth and investment initiatives Genuine autonomy to improve processes and influence decision making Salary is competitive and dependent on experience, with further progression as the individual and role develops. IPS Finance has 45 years' experience in the Yorkshire accountancy recruitment market. We have built our business on long term relationships with both individuals and clients across all sectors. Please visit our website to view our latest accountancy, finance, and practice opportunities.
We are seeking a commercially minded FP&A Manager to drive financial planning, analysis, and performance insight across our Bicester-based manufacturing operations. This is a high-impact role partnering with senior leadership to support strategic decision-making and operational efficiency. Client Details Our client is a well-established and growing manufacturing business based in Bicester, known for delivering high-quality products to a diverse customer base across the UK and internationally. With a strong reputation for innovation and operational excellence, the company is investing in its finance function to enhance data-driven decision making and support continued growth. The business offers a collaborative culture, modern facilities, and a leadership team committed to continuous improvement and employee development. Description Lead the annual budgeting and quarterly forecasting processes across multiple business units Provide detailed financial analysis, insights, and reporting to support strategic decision-making Partner with operational leaders to understand cost drivers and improve profitability Develop and maintain financial models to evaluate business performance and investment opportunities Drive improvements in financial reporting, systems, and processes Deliver variance analysis and commentaries against budget and forecast Support month-end and year-end processes in collaboration with the wider finance team Monitor KPIs and identify risks and opportunities to performance Present findings and recommendations to senior stakeholders Profile A successful FP&A Manager should be: Fully qualified accountant (ACA, ACCA, or CIMA) Proven experience in FP&A, financial analysis, or commercial finance within a manufacturing or similar environment Strong financial modelling and analytical skills Excellent business partnering and stakeholder management capabilities Advanced Excel skills and experience with financial systems/ERP tools Ability to translate complex financial data into clear, actionable insights Proactive, detail-oriented, and able to work in a fast-paced environment Job Offer Competitive salary ranging from £70,000 to £75,000 per annum. Hybrid working model for improved work-life balance. Professional and collaborative work environment in Bicester. Opportunity to work in a growing, forward-thinking manufacturing environment Clear progression opportunities within a supportive finance team If you are an experienced FP&A Manager ready to make an impact in the manufacturing industry, apply now to take the next step in your career.
Jul 07, 2026
Full time
We are seeking a commercially minded FP&A Manager to drive financial planning, analysis, and performance insight across our Bicester-based manufacturing operations. This is a high-impact role partnering with senior leadership to support strategic decision-making and operational efficiency. Client Details Our client is a well-established and growing manufacturing business based in Bicester, known for delivering high-quality products to a diverse customer base across the UK and internationally. With a strong reputation for innovation and operational excellence, the company is investing in its finance function to enhance data-driven decision making and support continued growth. The business offers a collaborative culture, modern facilities, and a leadership team committed to continuous improvement and employee development. Description Lead the annual budgeting and quarterly forecasting processes across multiple business units Provide detailed financial analysis, insights, and reporting to support strategic decision-making Partner with operational leaders to understand cost drivers and improve profitability Develop and maintain financial models to evaluate business performance and investment opportunities Drive improvements in financial reporting, systems, and processes Deliver variance analysis and commentaries against budget and forecast Support month-end and year-end processes in collaboration with the wider finance team Monitor KPIs and identify risks and opportunities to performance Present findings and recommendations to senior stakeholders Profile A successful FP&A Manager should be: Fully qualified accountant (ACA, ACCA, or CIMA) Proven experience in FP&A, financial analysis, or commercial finance within a manufacturing or similar environment Strong financial modelling and analytical skills Excellent business partnering and stakeholder management capabilities Advanced Excel skills and experience with financial systems/ERP tools Ability to translate complex financial data into clear, actionable insights Proactive, detail-oriented, and able to work in a fast-paced environment Job Offer Competitive salary ranging from £70,000 to £75,000 per annum. Hybrid working model for improved work-life balance. Professional and collaborative work environment in Bicester. Opportunity to work in a growing, forward-thinking manufacturing environment Clear progression opportunities within a supportive finance team If you are an experienced FP&A Manager ready to make an impact in the manufacturing industry, apply now to take the next step in your career.
Assistant Management Accountant to work on a temporary - permanent basis Salary : £35,000- £40,000 Location: Kings Norton, Birmingham Responsible for providing support to the business, including analyzing performance and monitoring KPIs. Responsible for general accounting duties such as the month end reporting process, balance sheet control reconciliations and accurate processing of general accounting transactions. - Responsible for the analysis of tooling project costs, project outturn forecasts and sales and margin trading - Maintain and reconcile balance sheet controls - Preparation and processing of general ledger journals - Review and update standard costs, including material COGS and BOMs - Responsible for the maintenance of the ERP system and the Sage Financials system. - Support stock control process - Raise sales invoices from delivery notes and tooling, project and ad-hoc sales invoices as required - Process purchase invoices into the accounts system with care taken to ensure all are authorised in the correct manner - Maintain records of POD's and invoices on shared drive - Chase outstanding tooling and project related debt - Respond to customer and supplier queries - Support the maintenance of shared accounts mailboxes - Ensure documents are filed correctly and in a timely manner - Ad-hoc finance duties and reporting You must have good excel skills and experience in an accounts assistant role, experience on Sage 50 and accruals, prepayments and journal knowledge would be advantageous This is an office based role with an early finish on a Friday
Jul 07, 2026
Seasonal
Assistant Management Accountant to work on a temporary - permanent basis Salary : £35,000- £40,000 Location: Kings Norton, Birmingham Responsible for providing support to the business, including analyzing performance and monitoring KPIs. Responsible for general accounting duties such as the month end reporting process, balance sheet control reconciliations and accurate processing of general accounting transactions. - Responsible for the analysis of tooling project costs, project outturn forecasts and sales and margin trading - Maintain and reconcile balance sheet controls - Preparation and processing of general ledger journals - Review and update standard costs, including material COGS and BOMs - Responsible for the maintenance of the ERP system and the Sage Financials system. - Support stock control process - Raise sales invoices from delivery notes and tooling, project and ad-hoc sales invoices as required - Process purchase invoices into the accounts system with care taken to ensure all are authorised in the correct manner - Maintain records of POD's and invoices on shared drive - Chase outstanding tooling and project related debt - Respond to customer and supplier queries - Support the maintenance of shared accounts mailboxes - Ensure documents are filed correctly and in a timely manner - Ad-hoc finance duties and reporting You must have good excel skills and experience in an accounts assistant role, experience on Sage 50 and accruals, prepayments and journal knowledge would be advantageous This is an office based role with an early finish on a Friday
Junior Financial Accountant 3-6 Month Contract Hook / Hybrid Day Rate from 200 via Umbrella Company My client specialises in the delivery of essential public services, with over 50,000 people working in defence, transport, justice, immigration, healthcare, and other citizen services across our four regions: UK & Europe, North America, Asia Pacific and Middle East. They are looking for a Junior Financial Accountant to come and join the team on a 3 to 6 month contract, with the potential to convert to a permanent opportunity. The role is based at my clients Hook offices, being in the office 3 days a week (Tuesday, Wednesday and Thursday) with the remaining 2 days working from home. Standard office hours with the occasional out of hours in line with business need. Role Overview The successful candidate will support the management of 7 trust accounts in a regulated environment. This is a hands-on role, working from bank data to ensure transactions are accurately recorded, reconciled, and reported. You'll initially operate in a standalone capacity, with good exposure to stakeholders and month-end processes. Key Responsibilities Maintain and reconcile trust accounts from bank-level data Support month-end (journals, reconciliations, reporting) Ensure accurate and controlled handling of client monies Work with finance teams and stakeholders to follow up on transactions Assist with account setup/closure during contract changes Support reporting and process improvements Attend meetings as required to discuss spend. What We're Looking For Essential Part-qualified / finalist (ACCA/CIMA/ACA) Experience with bank reconciliations and month-end Good understanding of debits and credits Hands-on, detail-focused, and organised Comfortable working independently and liaising with stakeholders Desirable SAP experience Experience in multi-account or regulated environments Candidates will ideally show evidence of the above in their CV to be considered. Please be advised if you haven't heard from us within 48 hours then unfortunately your application has not been successful on this occasion, we may however keep your details on file for any suitable future vacancies and contact you. We use generative AI tools to support our candidate screening process. This helps us ensure a fair, consistent, and efficient experience for all applicants. Rest assured, all final decisions are made by our hiring team, and your application will be reviewed with care and attention. Our commitment is to provide equal opportunity regardless of, for example, your gender, age, ethnicity, disability, sexual orientation or beliefs. We also engage with employers to develop programmes and pathways that embrace diverse talent and promote more inclusive employment worldwide through partnerships and other initiatives. We recognise and celebrate the value of difference and how it makes us faster, smarter and more innovative than our competition.
Jul 07, 2026
Contractor
Junior Financial Accountant 3-6 Month Contract Hook / Hybrid Day Rate from 200 via Umbrella Company My client specialises in the delivery of essential public services, with over 50,000 people working in defence, transport, justice, immigration, healthcare, and other citizen services across our four regions: UK & Europe, North America, Asia Pacific and Middle East. They are looking for a Junior Financial Accountant to come and join the team on a 3 to 6 month contract, with the potential to convert to a permanent opportunity. The role is based at my clients Hook offices, being in the office 3 days a week (Tuesday, Wednesday and Thursday) with the remaining 2 days working from home. Standard office hours with the occasional out of hours in line with business need. Role Overview The successful candidate will support the management of 7 trust accounts in a regulated environment. This is a hands-on role, working from bank data to ensure transactions are accurately recorded, reconciled, and reported. You'll initially operate in a standalone capacity, with good exposure to stakeholders and month-end processes. Key Responsibilities Maintain and reconcile trust accounts from bank-level data Support month-end (journals, reconciliations, reporting) Ensure accurate and controlled handling of client monies Work with finance teams and stakeholders to follow up on transactions Assist with account setup/closure during contract changes Support reporting and process improvements Attend meetings as required to discuss spend. What We're Looking For Essential Part-qualified / finalist (ACCA/CIMA/ACA) Experience with bank reconciliations and month-end Good understanding of debits and credits Hands-on, detail-focused, and organised Comfortable working independently and liaising with stakeholders Desirable SAP experience Experience in multi-account or regulated environments Candidates will ideally show evidence of the above in their CV to be considered. Please be advised if you haven't heard from us within 48 hours then unfortunately your application has not been successful on this occasion, we may however keep your details on file for any suitable future vacancies and contact you. We use generative AI tools to support our candidate screening process. This helps us ensure a fair, consistent, and efficient experience for all applicants. Rest assured, all final decisions are made by our hiring team, and your application will be reviewed with care and attention. Our commitment is to provide equal opportunity regardless of, for example, your gender, age, ethnicity, disability, sexual orientation or beliefs. We also engage with employers to develop programmes and pathways that embrace diverse talent and promote more inclusive employment worldwide through partnerships and other initiatives. We recognise and celebrate the value of difference and how it makes us faster, smarter and more innovative than our competition.
We are partnering with a market-leading global organisation in their search for a Senior Controller. This is a 12-month temporary role (with a possibility of extension) that is fully remote, offering a pay rate of £40 per hour (equivalent to a £62,000 annual salary). The Role In this high-visibility individual contributor role, you will play a key part in supporting the execution of a strategic global carve-out. You will be responsible for providing critical oversight and review of accounting activities and settlement processes to ensure financial accuracy and compliance throughout the separation. Key Responsibilities Deconsolidation & Financial Review: Support and review global monthly deconsolidation activities prepared and posted by existing teams, ensuring strict compliance with US GAAP. Net Economic Benefit (NEB) Oversight: Review global NEB calculations and settlement processing, while monitoring reconciliations to resolve discrepancies and ensure adherence to established controls. Controls & Risk Management: Identify and assess key accounting and financial reporting risks related to the carve-out, ensuring controls operate effectively and supporting all audit requirements. Stakeholder Collaboration: Partner cross-functionally with global stakeholders, including Global Business Services (GBS), Controllership teams, APAC Shared Service Centres, Tax, Treasury, and external advisors. Project Support: Support the Senior Manager, Controllership - SDG Projects in hitting key milestones, while driving consistency, standardisation, and continuous improvement across regions. This role could be right for you if you have: Qualifications: Fully qualified accountant (ACA, ACCA, CPA, or equivalent). Technical Skills: Strong experience in US GAAP accounting, financial reporting, and working within large US multinational environments. Systems Expertise: Proven hands-on experience with Oracle Hyperion (HFM) for financial planning and consolidation, alongside proficiency in SAP. Project Experience: Hands-on experience supporting divestitures, carve-outs, or complex accounting transformation projects is highly desirable. Soft Skills: Strong analytical and stakeholder management skills, an agile mindset, and the ability to operate effectively in a fast-paced, matrixed global environment. Randstad Financial & Professional encourage applications from individuals of all ages & backgrounds. Appointment will be made on merit alone but candidates must be able to demonstrate their ability to work in the UK. Randstad Financial & Professional acts as an employment agency for permanent recruitment & an employment business for temporary recruitment as defined by the Conduct of Employment Agencies & Employment Business Regulations 2003
Jul 07, 2026
Seasonal
We are partnering with a market-leading global organisation in their search for a Senior Controller. This is a 12-month temporary role (with a possibility of extension) that is fully remote, offering a pay rate of £40 per hour (equivalent to a £62,000 annual salary). The Role In this high-visibility individual contributor role, you will play a key part in supporting the execution of a strategic global carve-out. You will be responsible for providing critical oversight and review of accounting activities and settlement processes to ensure financial accuracy and compliance throughout the separation. Key Responsibilities Deconsolidation & Financial Review: Support and review global monthly deconsolidation activities prepared and posted by existing teams, ensuring strict compliance with US GAAP. Net Economic Benefit (NEB) Oversight: Review global NEB calculations and settlement processing, while monitoring reconciliations to resolve discrepancies and ensure adherence to established controls. Controls & Risk Management: Identify and assess key accounting and financial reporting risks related to the carve-out, ensuring controls operate effectively and supporting all audit requirements. Stakeholder Collaboration: Partner cross-functionally with global stakeholders, including Global Business Services (GBS), Controllership teams, APAC Shared Service Centres, Tax, Treasury, and external advisors. Project Support: Support the Senior Manager, Controllership - SDG Projects in hitting key milestones, while driving consistency, standardisation, and continuous improvement across regions. This role could be right for you if you have: Qualifications: Fully qualified accountant (ACA, ACCA, CPA, or equivalent). Technical Skills: Strong experience in US GAAP accounting, financial reporting, and working within large US multinational environments. Systems Expertise: Proven hands-on experience with Oracle Hyperion (HFM) for financial planning and consolidation, alongside proficiency in SAP. Project Experience: Hands-on experience supporting divestitures, carve-outs, or complex accounting transformation projects is highly desirable. Soft Skills: Strong analytical and stakeholder management skills, an agile mindset, and the ability to operate effectively in a fast-paced, matrixed global environment. Randstad Financial & Professional encourage applications from individuals of all ages & backgrounds. Appointment will be made on merit alone but candidates must be able to demonstrate their ability to work in the UK. Randstad Financial & Professional acts as an employment agency for permanent recruitment & an employment business for temporary recruitment as defined by the Conduct of Employment Agencies & Employment Business Regulations 2003
Our client is looking to recruit a qualified Accountant, who is currently working within a UK accountancy practice, to join the friendly team within this forward-thinking, independent accountancy practice at its Uxbridge office. Working on a mixed portfolio of clients, this role will incorporate a wide range of responsibilities across various sectors. Within this role you will have the opportunity to expand upon your current experience and progress your career in this client facing role with a well-established, dynamic firm that continues to steadily grow. Reporting to the Partners, the main functions of this Accountant role will include: Assisting with the management of a diverse portfolio of clients, being the first point of contact and responding to client enquiries in an accurate and timely manner Statutory accounts preparation for a range of SME, limited company, sole trader and larger businesses Management accounts and VAT which will include some complex management accounts work and VAT returns Potentially involvement with all aspects of tax, including personal and corporate tax compliance and advisory work Nurture junior team members and provide mentoring and guidance The management of both corporate clients and individuals to support partners Visit client sites if necessary Given the nature of this firm, the successful candidate will make the portfolio their own and will essentially be a client manager for the personal portfolio of clients. To be considered for this Accountant position applicants should have the following skills and experience: Be qualified ACA / ACCA exceptional qualified by experience candidates may be considered Previous experience gained within a UK accountancy practice environment is essential Good working knowledge of accounting standards, corporation tax, income tax, VAT Competent with the Microsoft Office Suite as well as familiarity with accountancy, taxation and practice management software Be effective in juggling priorities and managing workload Be a team player and able to work on your own initiative Have excellent written and verbal communication skills to interact with the team and clients In return for your skills and dedication, this dynamic firm will offer a competitive salary and benefits, depending upon experience, within a supportive and friendly working environment. Submit your CV for this Accountant role Unfortunately, we cannot accept applications for this role from candidates that do not have the right to work in the UK, or require visa sponsorship , either currently or in the future. This includes those currently on a student or graduate visa. Additionally, candidates must have experience gained within UK accountancy practice. We stipulate these criteria due to the high volume of applications from outside of the UK. Due to the high volume of applications we receive it is not always possible to respond to unsuccessful applicants. Therefore, if we have not responded to your application within five days please assume that on this occasion your application has not been successful.
Jul 07, 2026
Full time
Our client is looking to recruit a qualified Accountant, who is currently working within a UK accountancy practice, to join the friendly team within this forward-thinking, independent accountancy practice at its Uxbridge office. Working on a mixed portfolio of clients, this role will incorporate a wide range of responsibilities across various sectors. Within this role you will have the opportunity to expand upon your current experience and progress your career in this client facing role with a well-established, dynamic firm that continues to steadily grow. Reporting to the Partners, the main functions of this Accountant role will include: Assisting with the management of a diverse portfolio of clients, being the first point of contact and responding to client enquiries in an accurate and timely manner Statutory accounts preparation for a range of SME, limited company, sole trader and larger businesses Management accounts and VAT which will include some complex management accounts work and VAT returns Potentially involvement with all aspects of tax, including personal and corporate tax compliance and advisory work Nurture junior team members and provide mentoring and guidance The management of both corporate clients and individuals to support partners Visit client sites if necessary Given the nature of this firm, the successful candidate will make the portfolio their own and will essentially be a client manager for the personal portfolio of clients. To be considered for this Accountant position applicants should have the following skills and experience: Be qualified ACA / ACCA exceptional qualified by experience candidates may be considered Previous experience gained within a UK accountancy practice environment is essential Good working knowledge of accounting standards, corporation tax, income tax, VAT Competent with the Microsoft Office Suite as well as familiarity with accountancy, taxation and practice management software Be effective in juggling priorities and managing workload Be a team player and able to work on your own initiative Have excellent written and verbal communication skills to interact with the team and clients In return for your skills and dedication, this dynamic firm will offer a competitive salary and benefits, depending upon experience, within a supportive and friendly working environment. Submit your CV for this Accountant role Unfortunately, we cannot accept applications for this role from candidates that do not have the right to work in the UK, or require visa sponsorship , either currently or in the future. This includes those currently on a student or graduate visa. Additionally, candidates must have experience gained within UK accountancy practice. We stipulate these criteria due to the high volume of applications from outside of the UK. Due to the high volume of applications we receive it is not always possible to respond to unsuccessful applicants. Therefore, if we have not responded to your application within five days please assume that on this occasion your application has not been successful.
COMPANY DESCRIPTION, PROFILE AND SCOPE OF ROLE Our client is a premier UK manufacturer and market leader with over 70 years of heritage in precision engineering and high-specification component production. Part of a major global industrial group, their Sunderland facility combines a value-driven culture with significant investment in technology to serve world-class OEMs. Due to continued growth and a strategic restructure, they are seeking an experienced Accountant to serve as the financial lead for their Sunderland site. This role offers a unique opportunity to join a high-performing team, providing the financial control and insight necessary to drive business performance. Reporting to the Group Accountant, you will oversee the local finance function, manage site-specific reporting, and act as a key partner to the operational management team. The ideal candidate will possess management accountancy experience gained within a manufacturing, or similar environment, combined with working knowledge of ERP/MRP systems and WIP. KEY DUTIES & RESPONSIBILITIES Preparation of monthly management accounts and detailed variance analysis. Lead inventory accounting, including stock validation and Work in Progress (WIP) valuations. Assisting in annual budgeting, profit planning, and regular financial forecasting. Overseeing, and mentor a small team responsible for payroll and ledgers. Management of VAT, PAYE, and statutory reporting alongside year-end audit preparation. Evaluation of CAPEX viability and provide financial analysis for operational decision-making. QUALIFICATIONS, EXPERIENCE, SKILLS AND ATTRIBUTES Fully qualified (ACA, ACCA, CIMA) or equivalent. Preferably from a manufacturing or engineering, or similar environment. Technical Skills: Proficiency in ERP/MRP systems and advanced Microsoft Excel. Demonstrable understanding of WIP and inventory accounting within a fast-paced environment. Attention to detail, with a high level of accuracy, ability to meet tight deadlines, and strong communication skills (able to influence) NB: 37.5Hr Week l Site Based l Staggered start/finish times l Early Finish Friday
Jul 07, 2026
Full time
COMPANY DESCRIPTION, PROFILE AND SCOPE OF ROLE Our client is a premier UK manufacturer and market leader with over 70 years of heritage in precision engineering and high-specification component production. Part of a major global industrial group, their Sunderland facility combines a value-driven culture with significant investment in technology to serve world-class OEMs. Due to continued growth and a strategic restructure, they are seeking an experienced Accountant to serve as the financial lead for their Sunderland site. This role offers a unique opportunity to join a high-performing team, providing the financial control and insight necessary to drive business performance. Reporting to the Group Accountant, you will oversee the local finance function, manage site-specific reporting, and act as a key partner to the operational management team. The ideal candidate will possess management accountancy experience gained within a manufacturing, or similar environment, combined with working knowledge of ERP/MRP systems and WIP. KEY DUTIES & RESPONSIBILITIES Preparation of monthly management accounts and detailed variance analysis. Lead inventory accounting, including stock validation and Work in Progress (WIP) valuations. Assisting in annual budgeting, profit planning, and regular financial forecasting. Overseeing, and mentor a small team responsible for payroll and ledgers. Management of VAT, PAYE, and statutory reporting alongside year-end audit preparation. Evaluation of CAPEX viability and provide financial analysis for operational decision-making. QUALIFICATIONS, EXPERIENCE, SKILLS AND ATTRIBUTES Fully qualified (ACA, ACCA, CIMA) or equivalent. Preferably from a manufacturing or engineering, or similar environment. Technical Skills: Proficiency in ERP/MRP systems and advanced Microsoft Excel. Demonstrable understanding of WIP and inventory accounting within a fast-paced environment. Attention to detail, with a high level of accuracy, ability to meet tight deadlines, and strong communication skills (able to influence) NB: 37.5Hr Week l Site Based l Staggered start/finish times l Early Finish Friday
James Andrew Recruitment Solutions (JAR Solutions)
Coventry, Warwickshire
We are currently partnering with an award winning organisation based in Coventry, who are recruiting for a Financial Controller to join their team on a 12 month fixed term contract. This is a full-time position with a salary band of £45,000 to £55,000 (subject to experience) + 8.5% bonus. There is hybrid working , with the expectation to be in Coventry twice per week , as well as less frequent travel to their offices in Slough. Duties will include (but are not limited to): Treasury management including cash flow forecasting and liquidity monitoring Preparing commercial accounting reports covering spread, Insurance & Services, budgets and forecasts Performing profitability calculations for commercial products including interest rates and COF impacts Actively coordinating with central accounting teams to ensure accurate and timely financial reporting Leading the annual budgeting process and preparing rolling forecasts Owning the preparation and delivery of monthly and annual financial reports Managing P&L including provisions, accruals and variance analysis (VRB) Driving process improvements across treasury, forecasting and financial reporting activities Developing and maintaining financial KPIs, dashboards and management reporting tools Overseeing monthly reporting packs for local and Head Office management Supporting financial governance and risk management processes Experience required: Strong month-end and year-end accounting experience Treasury, budgeting and forecasting experience Commercial accounting and profitability analysis knowledge Skills, knowledge and expertise required: Qualified Accountant (ACCA / ACA / CIMA) Strong communication and stakeholder management skills Motor finance or leasing industry experience desirable Intermediate Microsoft Excel skills (VLOOKUPs & Pivot Tables) Rewards and Benefits: Hybrid working Bonus 10.5% annual Family private medical insurance Enhanced Pension Scheme Company car Working hours: 37.5 hours per week Monday - Friday, 9am-5pm Please note that you require recent experience to apply for this role. James Andrews is acting as an employment agency and business in relation to this role. At James Andrews Recruitment Solutions we try to respond to all applications personally, however, due to the high volume of applications this is not always possible. If you have not heard back from us within 72 hours, please assume that your application has been unsuccessful on this occasion. Don't forget our recommendation scheme: Recommend a friend or colleague to us and receive up to £100 each once they have completed 20 days in a role via James Andrews! Terms and conditions apply, contact us for details.
Jul 07, 2026
Contractor
We are currently partnering with an award winning organisation based in Coventry, who are recruiting for a Financial Controller to join their team on a 12 month fixed term contract. This is a full-time position with a salary band of £45,000 to £55,000 (subject to experience) + 8.5% bonus. There is hybrid working , with the expectation to be in Coventry twice per week , as well as less frequent travel to their offices in Slough. Duties will include (but are not limited to): Treasury management including cash flow forecasting and liquidity monitoring Preparing commercial accounting reports covering spread, Insurance & Services, budgets and forecasts Performing profitability calculations for commercial products including interest rates and COF impacts Actively coordinating with central accounting teams to ensure accurate and timely financial reporting Leading the annual budgeting process and preparing rolling forecasts Owning the preparation and delivery of monthly and annual financial reports Managing P&L including provisions, accruals and variance analysis (VRB) Driving process improvements across treasury, forecasting and financial reporting activities Developing and maintaining financial KPIs, dashboards and management reporting tools Overseeing monthly reporting packs for local and Head Office management Supporting financial governance and risk management processes Experience required: Strong month-end and year-end accounting experience Treasury, budgeting and forecasting experience Commercial accounting and profitability analysis knowledge Skills, knowledge and expertise required: Qualified Accountant (ACCA / ACA / CIMA) Strong communication and stakeholder management skills Motor finance or leasing industry experience desirable Intermediate Microsoft Excel skills (VLOOKUPs & Pivot Tables) Rewards and Benefits: Hybrid working Bonus 10.5% annual Family private medical insurance Enhanced Pension Scheme Company car Working hours: 37.5 hours per week Monday - Friday, 9am-5pm Please note that you require recent experience to apply for this role. James Andrews is acting as an employment agency and business in relation to this role. At James Andrews Recruitment Solutions we try to respond to all applications personally, however, due to the high volume of applications this is not always possible. If you have not heard back from us within 72 hours, please assume that your application has been unsuccessful on this occasion. Don't forget our recommendation scheme: Recommend a friend or colleague to us and receive up to £100 each once they have completed 20 days in a role via James Andrews! Terms and conditions apply, contact us for details.
Financial Controller Overview A profitable, fast-paced UK business operating within the vehicle rental / fleet sector is seeking an experienced Financial Controller to lead its finance function. This is a senior role offering full ownership of financial reporting, control, and team leadership, alongside strong exposure to commercial decision-making and business performance. The Role Reporting to the Finance Director, you will take responsibility for the day-to-day and strategic leadership of finance , ensuring accurate reporting, strong controls, and meaningful insight to support the wider business. You will also play a key role in improving processes, systems, and efficiency across the finance function. Key Responsibilities Lead month-end close, ensuring accurate and timely reporting Own P&L, balance sheet, and financial controls Deliver monthly management accounts and performance analysis Manage audit process and statutory accounts preparation Oversee tax compliance including VAT and corporate tax Business partner with senior leadership to support decision-making Lead, develop, and mentor the finance team Drive process improvements and system efficiencies About You Fully qualified accountant (ACA, ACCA, or CIMA) Proven Financial Controller (or similar) experience Strong technical accounting and reporting knowledge Experience managing audits and financial compliance Commercially minded with strong stakeholder skills Hands-on and proactive approach in a fast-moving environment Desirable Experience in automotive, rental, fleet, or asset-based sectors Multi-entity or group reporting exposure Experience improving processes or implementing systems Package Bonus scheme Car or car allowance Private healthcare Pension and holiday package
Jul 07, 2026
Full time
Financial Controller Overview A profitable, fast-paced UK business operating within the vehicle rental / fleet sector is seeking an experienced Financial Controller to lead its finance function. This is a senior role offering full ownership of financial reporting, control, and team leadership, alongside strong exposure to commercial decision-making and business performance. The Role Reporting to the Finance Director, you will take responsibility for the day-to-day and strategic leadership of finance , ensuring accurate reporting, strong controls, and meaningful insight to support the wider business. You will also play a key role in improving processes, systems, and efficiency across the finance function. Key Responsibilities Lead month-end close, ensuring accurate and timely reporting Own P&L, balance sheet, and financial controls Deliver monthly management accounts and performance analysis Manage audit process and statutory accounts preparation Oversee tax compliance including VAT and corporate tax Business partner with senior leadership to support decision-making Lead, develop, and mentor the finance team Drive process improvements and system efficiencies About You Fully qualified accountant (ACA, ACCA, or CIMA) Proven Financial Controller (or similar) experience Strong technical accounting and reporting knowledge Experience managing audits and financial compliance Commercially minded with strong stakeholder skills Hands-on and proactive approach in a fast-moving environment Desirable Experience in automotive, rental, fleet, or asset-based sectors Multi-entity or group reporting exposure Experience improving processes or implementing systems Package Bonus scheme Car or car allowance Private healthcare Pension and holiday package
Elevation Recruitment Group are delighted to be working with a successful global installation business in Rotherham. They are currently looking to recruit a commercially driven Finance Business Partner into the team. The company offers an excellent benefits package: - Hybrid working (3 days office and 2 days home) Westfield Health Benefit £20 per month gym subsidy 25 days holiday + Bank Holidays (Ability to purchase an additional 5 per year) Auto Enrolment Pension Possibility of BUPA Healthcare Standard hours are 9am - 5pm but there can be flexibility with regards to this. This Finance Business Partner role will be a key link between Finance, Sales and Operations - combining strong financial control with strategic insight to drive performance, profitability and informed decision making. The role requires hands on financial management coupled with proactive business partnering with a wide range of stakeholders (both financial and non-financial) Duties will include: - Contribute to the development of annual business plans and strategic objectives Lead budgeting and forecasting processes; including P&L and balance sheets Support development of business cases and investment decisions Manage the monthly management accounts, reporting and analysis Ensure compliance with accounting standards, group policies and internal controls Manage month end processes Oversee financial governance e.g. approvals, banking, credit limits Oversee fixed assets, stock provisions and bad debt provisions Support year end Audits, ONS requirements and any other statutory reporting Monitor and advise on financial risks, controls and regulatory compliance Support stocktakes and inventory governance Provide financial insights to relevant stakeholders Analyse financial trends, risks and opportunities Deliver clear, data driven recommendations Support rebate schemes, commission structures etc Act as a Trusted Advisor to the Senior Leadership Team Build strong stakeholder relationships across the teams Influence and challenge decisions to improve financial performance Support stakeholders in understanding of financial results The successful candidate will have the following skills and experiences: - Qualified or part-qualified accountant (ACA, ACCA, CIMA or equivalent) 3-4 years' previous experience in a commercial finance role Exposure to financial control, reporting and audit processes Experience of using SAP desirable but not essential Budgeting and forecasting Good data analytical skills Ability to meet deadlines Good systems knowledge (SAP desirable) and full knowledge of Excel including use of Macros Strong communicator and good at building relationships If you are interested in this role, please send in your CV today!
Jul 07, 2026
Full time
Elevation Recruitment Group are delighted to be working with a successful global installation business in Rotherham. They are currently looking to recruit a commercially driven Finance Business Partner into the team. The company offers an excellent benefits package: - Hybrid working (3 days office and 2 days home) Westfield Health Benefit £20 per month gym subsidy 25 days holiday + Bank Holidays (Ability to purchase an additional 5 per year) Auto Enrolment Pension Possibility of BUPA Healthcare Standard hours are 9am - 5pm but there can be flexibility with regards to this. This Finance Business Partner role will be a key link between Finance, Sales and Operations - combining strong financial control with strategic insight to drive performance, profitability and informed decision making. The role requires hands on financial management coupled with proactive business partnering with a wide range of stakeholders (both financial and non-financial) Duties will include: - Contribute to the development of annual business plans and strategic objectives Lead budgeting and forecasting processes; including P&L and balance sheets Support development of business cases and investment decisions Manage the monthly management accounts, reporting and analysis Ensure compliance with accounting standards, group policies and internal controls Manage month end processes Oversee financial governance e.g. approvals, banking, credit limits Oversee fixed assets, stock provisions and bad debt provisions Support year end Audits, ONS requirements and any other statutory reporting Monitor and advise on financial risks, controls and regulatory compliance Support stocktakes and inventory governance Provide financial insights to relevant stakeholders Analyse financial trends, risks and opportunities Deliver clear, data driven recommendations Support rebate schemes, commission structures etc Act as a Trusted Advisor to the Senior Leadership Team Build strong stakeholder relationships across the teams Influence and challenge decisions to improve financial performance Support stakeholders in understanding of financial results The successful candidate will have the following skills and experiences: - Qualified or part-qualified accountant (ACA, ACCA, CIMA or equivalent) 3-4 years' previous experience in a commercial finance role Exposure to financial control, reporting and audit processes Experience of using SAP desirable but not essential Budgeting and forecasting Good data analytical skills Ability to meet deadlines Good systems knowledge (SAP desirable) and full knowledge of Excel including use of Macros Strong communicator and good at building relationships If you are interested in this role, please send in your CV today!
Axon Moore is exclusively partnering with a high-growth, private equity backed business to appoint an M&A Accountant. This organisation has built an impressive track record through a combination of strategic acquisitions and sustained expansion, creating an exciting environment for ambitious finance professionals. This opportunity is ideally suited to an ACA or ACCA qualified accountant making their first move from practice. The role offers the chance to utilise strong technical accounting skills within a group environment, while gaining valuable exposure to a broad range of corporate finance and business transformation projects. The successful candidate will be a confident communicator and effective business partner, working closely with stakeholders across the wider organisation. Key responsibilities include: Providing critical support across merger and acquisition activities. Assisting with financial and commercial due diligence processes. Supporting the implementation, management, and data cleansing of finance systems. Contributing to M&A disposal and reinvestment projects. Supporting the Head of Finance with post-acquisition integrations. Business partnering with senior stakeholders across Finance, Operations, IT, HR, and other functions throughout the group. This is a unique opportunity to gain significant exposure within a dynamic and acquisitive business, while benefiting from the mentorship and development provided by a high-calibre, ACA qualified Head of Finance. If you are an ambitious individual with strong Excel, analytical, and data management skills, please get in touch. Our local Lancashire Axon Moore team recruit all accounting and finance roles from CFO to transactional finance on both a temporary and permanent basis. For more information about this role or our wider team, please contact Kat Goulding on (url removed) or on (phone number removed). INDFIN
Jul 07, 2026
Full time
Axon Moore is exclusively partnering with a high-growth, private equity backed business to appoint an M&A Accountant. This organisation has built an impressive track record through a combination of strategic acquisitions and sustained expansion, creating an exciting environment for ambitious finance professionals. This opportunity is ideally suited to an ACA or ACCA qualified accountant making their first move from practice. The role offers the chance to utilise strong technical accounting skills within a group environment, while gaining valuable exposure to a broad range of corporate finance and business transformation projects. The successful candidate will be a confident communicator and effective business partner, working closely with stakeholders across the wider organisation. Key responsibilities include: Providing critical support across merger and acquisition activities. Assisting with financial and commercial due diligence processes. Supporting the implementation, management, and data cleansing of finance systems. Contributing to M&A disposal and reinvestment projects. Supporting the Head of Finance with post-acquisition integrations. Business partnering with senior stakeholders across Finance, Operations, IT, HR, and other functions throughout the group. This is a unique opportunity to gain significant exposure within a dynamic and acquisitive business, while benefiting from the mentorship and development provided by a high-calibre, ACA qualified Head of Finance. If you are an ambitious individual with strong Excel, analytical, and data management skills, please get in touch. Our local Lancashire Axon Moore team recruit all accounting and finance roles from CFO to transactional finance on both a temporary and permanent basis. For more information about this role or our wider team, please contact Kat Goulding on (url removed) or on (phone number removed). INDFIN