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Belinda Roberts Ltd
Management Accountant
Belinda Roberts Ltd
My client is a fast-growing retail service provider based in the Cheadle area. They are seeking a 9-month fixed-term position providing maternity cover within the Finance and Operations department. The Management Accountant will take hands-on ownership of the monthly management accounts process and the finance activities required to produce accurate, timely and well-controlled financial information. The role also owns routine customer invoicing and proformas, customer payment receipting and allocation, and the administration and financial control of stock ordering and deliveries. Working closely with the Head of Finance and Operations, the postholder will support agreed system and process changes and make practical suggestions where opportunities are identified. This role is looking for someone who is able to start immediately. Duties of the role will include; Prepare complete monthly management accounts and supporting schedules to the agreed timetable Complete month-end journals, accruals, prepayments, revenue cut-off, balance-sheet reconciliations and variance analysis Own routine customer invoicing and proformas, customer payment receipting and allocation, recurring payments and key payment reconciliations Administer stock ordering and deliveries, including approved ordering, supplier coordination, stocktakes, reconciliation and valuation Prepare supplier payments, verify invoices and expenses, and maintain accurate financial records and audit trails Assist the Head of Finance and Operations with agreed Sage 200 and finance-process changes, providing practical suggestions where appropriate The right candidate for the role will be: Fully qualified or part-qualified CIMA, ACCA or ACA, or qualified by experience with substantial relevant management-accounting experience AAT Level 4 qualified candidates may also be considered where they can demonstrate significant experience independently preparing complete monthly management accounts A minimum of 3 years' recent experience in a comparable Management Accountant or senior finance role Recent, hands-on Sage 200 experience in a finance environment, including month end, reporting, reconciliations, customer invoicing, payment allocation and stock-related processes Demonstrable experience taking ownership of the full month-end process and delivering accurate management accounts to agreed deadlines Strong technical knowledge of month-end journals, accruals, prepayments, revenue recognition, accounting cut-off, balance-sheet reconciliations, fixed assets, depreciation and variance analysis Experience of customer invoicing, proformas, customer payment allocation, bank reconciliations, direct debits, supplier payments and transactional-finance controls Experience of stock accounting, including stock reconciliation, valuation, stocktakes and the financial administration of stock ordering and deliveries Advanced Microsoft Excel skills, including pivot tables, lookups, reconciliations and financial analysis Proven ability to investigate financial discrepancies, resolve issues and maintain accurate supporting records and audit trails
Aug 04, 2026
Contractor
My client is a fast-growing retail service provider based in the Cheadle area. They are seeking a 9-month fixed-term position providing maternity cover within the Finance and Operations department. The Management Accountant will take hands-on ownership of the monthly management accounts process and the finance activities required to produce accurate, timely and well-controlled financial information. The role also owns routine customer invoicing and proformas, customer payment receipting and allocation, and the administration and financial control of stock ordering and deliveries. Working closely with the Head of Finance and Operations, the postholder will support agreed system and process changes and make practical suggestions where opportunities are identified. This role is looking for someone who is able to start immediately. Duties of the role will include; Prepare complete monthly management accounts and supporting schedules to the agreed timetable Complete month-end journals, accruals, prepayments, revenue cut-off, balance-sheet reconciliations and variance analysis Own routine customer invoicing and proformas, customer payment receipting and allocation, recurring payments and key payment reconciliations Administer stock ordering and deliveries, including approved ordering, supplier coordination, stocktakes, reconciliation and valuation Prepare supplier payments, verify invoices and expenses, and maintain accurate financial records and audit trails Assist the Head of Finance and Operations with agreed Sage 200 and finance-process changes, providing practical suggestions where appropriate The right candidate for the role will be: Fully qualified or part-qualified CIMA, ACCA or ACA, or qualified by experience with substantial relevant management-accounting experience AAT Level 4 qualified candidates may also be considered where they can demonstrate significant experience independently preparing complete monthly management accounts A minimum of 3 years' recent experience in a comparable Management Accountant or senior finance role Recent, hands-on Sage 200 experience in a finance environment, including month end, reporting, reconciliations, customer invoicing, payment allocation and stock-related processes Demonstrable experience taking ownership of the full month-end process and delivering accurate management accounts to agreed deadlines Strong technical knowledge of month-end journals, accruals, prepayments, revenue recognition, accounting cut-off, balance-sheet reconciliations, fixed assets, depreciation and variance analysis Experience of customer invoicing, proformas, customer payment allocation, bank reconciliations, direct debits, supplier payments and transactional-finance controls Experience of stock accounting, including stock reconciliation, valuation, stocktakes and the financial administration of stock ordering and deliveries Advanced Microsoft Excel skills, including pivot tables, lookups, reconciliations and financial analysis Proven ability to investigate financial discrepancies, resolve issues and maintain accurate supporting records and audit trails
CMA Recruitment Group
Interim Management Accountant
CMA Recruitment Group Southampton, Hampshire
CMA Recruitment Group is partnering with a well-established, private equity backed services organisation is looking for a Management Accountant to join them on a 9 12 month fixed-term contract. Operating across multiple sectors and delivering essential project-based services nationwide, this is a brilliant opportunity to join a fast-paced, commercially driven environment where finance has real influence If you enjoy variety, stakeholder exposure and making an impact quickly, this role offers exactly that. Reporting into the Finance Leadership Team, you will take ownership of high-quality management accounts and deliver meaningful commercial insight that supports both operational and strategic decisions. What will the Interim Management Accountant role involve? Producing accurate, timely monthly management accounts with clear, insightful variance analysis • Bringing numbers to life through commercial reporting on revenue, margin, costs and working capital • Partnering closely with operational and commercial teams to challenge performance and influence decisions • Supporting budgeting and forecasting across a multi-site, project-led environment • Supporting year-end processes, including audit and statutory reporting • Delivering sharp financial modelling and scenario analysis for business cases What are we looking for? • Fully qualified accountant (ACA, ACCA or CIMA) with strong post-qualification experience • Advanced Excel skills (pivot tables, XLOOKUP, modelling) • Confidence partnering with non-finance stakeholders and adding commercial value Experience in construction, property services or project-based/contract environments • Exposure to Power BI, Power Query or reporting transformation • Familiarity with Microsoft Dynamics 365 (Business Central or Finance & Operations) 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.
Aug 04, 2026
Contractor
CMA Recruitment Group is partnering with a well-established, private equity backed services organisation is looking for a Management Accountant to join them on a 9 12 month fixed-term contract. Operating across multiple sectors and delivering essential project-based services nationwide, this is a brilliant opportunity to join a fast-paced, commercially driven environment where finance has real influence If you enjoy variety, stakeholder exposure and making an impact quickly, this role offers exactly that. Reporting into the Finance Leadership Team, you will take ownership of high-quality management accounts and deliver meaningful commercial insight that supports both operational and strategic decisions. What will the Interim Management Accountant role involve? Producing accurate, timely monthly management accounts with clear, insightful variance analysis • Bringing numbers to life through commercial reporting on revenue, margin, costs and working capital • Partnering closely with operational and commercial teams to challenge performance and influence decisions • Supporting budgeting and forecasting across a multi-site, project-led environment • Supporting year-end processes, including audit and statutory reporting • Delivering sharp financial modelling and scenario analysis for business cases What are we looking for? • Fully qualified accountant (ACA, ACCA or CIMA) with strong post-qualification experience • Advanced Excel skills (pivot tables, XLOOKUP, modelling) • Confidence partnering with non-finance stakeholders and adding commercial value Experience in construction, property services or project-based/contract environments • Exposure to Power BI, Power Query or reporting transformation • Familiarity with Microsoft Dynamics 365 (Business Central or Finance & Operations) 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.
Michael Page
Finance Business Partner
Michael Page City, Leeds
Michael Page Finance are partnering with a successful client based in Leeds who are seeking a Finance Business Partner to join their commercial team. You'll provide financial insights, build models, support budgeting and forecasting, and partner with department leaders to drive strategic decisions. This is a hands-on role offering the chance to influence growth, improve margins, and shape the business's commercial performance. Client Details Our client is a well-established organisation based in Leeds. The finance function is made up of long-serving, high performing accountants who have a genuine interest in career development. There'll be opportunities for cross-collaboration and support with stakeholders outside of the finance function, given the positive culture within the business. Description In this Finance Business Partner position, you'll be expected to: Partner with divisional leaders to deliver financial insights and recommendations that inform strategic and operational decisions Collaborate with stakeholders to understand key revenue drivers and identify opportunities for sustainable growth Lead budgeting and forecasting processes, contributing to annual plans, reforecasts, and long-term business planning Prepare monthly management reports, including variance analysis and commentary for senior leadership Build and maintain robust financial models to evaluate strategic initiatives and investment opportunities Conduct in-depth analysis of business performance, identifying trends, risks, and improvement opportunities Work with teams to define, monitor, and report on key performance indicators Support continuous improvement by developing action plans that enhance profitability, efficiency, and commercial performance Profile We're looking for: Qualified accountant (ACA/ACCA/CIMA or equivalent) Demonstrable experience in a Commercial Finance/FP&A environment Strong commercial acumen with the ability to influence non-finance stakeholders A data-focused and analytical mindset, with financial modelling and Excel/Google Sheets skills Ablility to both independently and collaboratively in a fast-paced environment Strong communication skills and the ability to present financial information clearly to both financial and non-financial stakeholders Job Offer A competitive salary ranging from 50,000 to 60,000 per annum Comprehensive benefits package Opportunities for professional growth within the business A collaborative and supportive working environment in Leeds
Aug 04, 2026
Full time
Michael Page Finance are partnering with a successful client based in Leeds who are seeking a Finance Business Partner to join their commercial team. You'll provide financial insights, build models, support budgeting and forecasting, and partner with department leaders to drive strategic decisions. This is a hands-on role offering the chance to influence growth, improve margins, and shape the business's commercial performance. Client Details Our client is a well-established organisation based in Leeds. The finance function is made up of long-serving, high performing accountants who have a genuine interest in career development. There'll be opportunities for cross-collaboration and support with stakeholders outside of the finance function, given the positive culture within the business. Description In this Finance Business Partner position, you'll be expected to: Partner with divisional leaders to deliver financial insights and recommendations that inform strategic and operational decisions Collaborate with stakeholders to understand key revenue drivers and identify opportunities for sustainable growth Lead budgeting and forecasting processes, contributing to annual plans, reforecasts, and long-term business planning Prepare monthly management reports, including variance analysis and commentary for senior leadership Build and maintain robust financial models to evaluate strategic initiatives and investment opportunities Conduct in-depth analysis of business performance, identifying trends, risks, and improvement opportunities Work with teams to define, monitor, and report on key performance indicators Support continuous improvement by developing action plans that enhance profitability, efficiency, and commercial performance Profile We're looking for: Qualified accountant (ACA/ACCA/CIMA or equivalent) Demonstrable experience in a Commercial Finance/FP&A environment Strong commercial acumen with the ability to influence non-finance stakeholders A data-focused and analytical mindset, with financial modelling and Excel/Google Sheets skills Ablility to both independently and collaboratively in a fast-paced environment Strong communication skills and the ability to present financial information clearly to both financial and non-financial stakeholders Job Offer A competitive salary ranging from 50,000 to 60,000 per annum Comprehensive benefits package Opportunities for professional growth within the business A collaborative and supportive working environment in Leeds
Marble Mayne Recruitment
Financial Controller
Marble Mayne Recruitment Kettering, Northamptonshire
Financial Controller - Multi Academy Trust Location: Thrapston, Northamptonshire Contract Type: Permanent Salary: £51,000 -£58,000 per annum Lead and develop a Finance Operations team within education Partner directly with the CFO on strategic financial planning Hands-on financial accounting role managing a team Develop your career within a Trust committed to professional growth Our client, a well-established Multi-Academy Trust with schools across Corby, Kettering and Wisbech, is seeking an experienced Financial Controller to join their central finance team - in the Thrapston Head Office. This is an excellent opportunity for a finance professional looking to make a meaningful impact within the education sector while advancing their career in a supportive and values-driven organisation. Company Overview This Multi-Academy Trust of 12 primary & secondary schools is committed to enhancing strategic financial insight across its schools and leadership teams. They focus on the efficient allocation of resources, integrating finance with curriculum planning, and ensuring compliance with ESFA and academy handbook requirements. The Trust values continuous improvement and invests in the ongoing professional and personal development of every employee. With a strong emphasis on collaboration, high standards, and courteous service, they create an environment where finance professionals can grow while making a real difference to students and staff across their schools. Position Overview As Financial Controller, you'll play a key role in ensuring financial sustainability across the Trust. Working closely with the CFO, you'll manage capital and revenue budgets, produce financial reports and statements, and lead the Finance Operations team of 4 staff. This position is central to maintaining robust financial controls, managing risk, and ensuring compliance with financial and legal obligations. You'll also build strong relationships with external stakeholders including banks, the DfE, and auditors, while identifying opportunities for cost savings and improved efficiency across the Trust. Responsibilities Manage and monitor capital and revenue budgets effectively Support the CFO in producing regular finance reports and budget packs Prepare financial statements including cash flow, income and balance sheets Perform monthly balance sheet reconciliations and fixed asset reporting Maintain the Key Financial Controls Framework across the Trust Conduct fixed asset verifications and stock takes Manage financial risk and ensure compliance with regulations Build and maintain relationships with banks, DfE, auditors and stakeholders Organise and follow up on internal and external audits Lead, develop and manage the Finance Operations team (4 staff) Monitor cost-effectiveness of services and identify savings opportunities Oversee transactional processes including banking, purchase ledger and sales ledger Manage working capital and cash flow forecasting Partner with the CEO, Regional Executive Principals and School Business Managers Requirements Proven experience managing budgets and financial controls in a similar role Ideally fully-qualified ACCA, CIMA, ACA or CIPA accountant Strong technical accounting skills including balance sheet reconciliations and financial statements Experience leading and developing finance teams Knowledge of compliance requirements, ideally within education or public sector Ability to build effective relationships with senior stakeholders Experience managing audits and working with external bodies Strong analytical skills to identify cost savings and efficiency improvements Understanding of working capital management and cash flow forecasting Commitment to continuous improvement and professional development Benefits Competitive salary of £51-58k Leading public sector pension contributions The role is office based but there is flexibility to work from home during quieter periods Commitment to ongoing professional and personal development Supportive leadership and clear career progression opportunities You'll join a Trust that genuinely values its people and invests in their growth. Working alongside committed professionals, you'll be part of an organisation focused on continuous improvement, high standards, and making a positive impact on education. How to Apply If you have the skills and experience to succeed in this Financial Controller role and are looking to advance your career within the education sector, please submit your CV and a cover letter outlining your relevant experience. We look forward to hearing from you. Closing date: Ongoing/ASAP
Aug 04, 2026
Full time
Financial Controller - Multi Academy Trust Location: Thrapston, Northamptonshire Contract Type: Permanent Salary: £51,000 -£58,000 per annum Lead and develop a Finance Operations team within education Partner directly with the CFO on strategic financial planning Hands-on financial accounting role managing a team Develop your career within a Trust committed to professional growth Our client, a well-established Multi-Academy Trust with schools across Corby, Kettering and Wisbech, is seeking an experienced Financial Controller to join their central finance team - in the Thrapston Head Office. This is an excellent opportunity for a finance professional looking to make a meaningful impact within the education sector while advancing their career in a supportive and values-driven organisation. Company Overview This Multi-Academy Trust of 12 primary & secondary schools is committed to enhancing strategic financial insight across its schools and leadership teams. They focus on the efficient allocation of resources, integrating finance with curriculum planning, and ensuring compliance with ESFA and academy handbook requirements. The Trust values continuous improvement and invests in the ongoing professional and personal development of every employee. With a strong emphasis on collaboration, high standards, and courteous service, they create an environment where finance professionals can grow while making a real difference to students and staff across their schools. Position Overview As Financial Controller, you'll play a key role in ensuring financial sustainability across the Trust. Working closely with the CFO, you'll manage capital and revenue budgets, produce financial reports and statements, and lead the Finance Operations team of 4 staff. This position is central to maintaining robust financial controls, managing risk, and ensuring compliance with financial and legal obligations. You'll also build strong relationships with external stakeholders including banks, the DfE, and auditors, while identifying opportunities for cost savings and improved efficiency across the Trust. Responsibilities Manage and monitor capital and revenue budgets effectively Support the CFO in producing regular finance reports and budget packs Prepare financial statements including cash flow, income and balance sheets Perform monthly balance sheet reconciliations and fixed asset reporting Maintain the Key Financial Controls Framework across the Trust Conduct fixed asset verifications and stock takes Manage financial risk and ensure compliance with regulations Build and maintain relationships with banks, DfE, auditors and stakeholders Organise and follow up on internal and external audits Lead, develop and manage the Finance Operations team (4 staff) Monitor cost-effectiveness of services and identify savings opportunities Oversee transactional processes including banking, purchase ledger and sales ledger Manage working capital and cash flow forecasting Partner with the CEO, Regional Executive Principals and School Business Managers Requirements Proven experience managing budgets and financial controls in a similar role Ideally fully-qualified ACCA, CIMA, ACA or CIPA accountant Strong technical accounting skills including balance sheet reconciliations and financial statements Experience leading and developing finance teams Knowledge of compliance requirements, ideally within education or public sector Ability to build effective relationships with senior stakeholders Experience managing audits and working with external bodies Strong analytical skills to identify cost savings and efficiency improvements Understanding of working capital management and cash flow forecasting Commitment to continuous improvement and professional development Benefits Competitive salary of £51-58k Leading public sector pension contributions The role is office based but there is flexibility to work from home during quieter periods Commitment to ongoing professional and personal development Supportive leadership and clear career progression opportunities You'll join a Trust that genuinely values its people and invests in their growth. Working alongside committed professionals, you'll be part of an organisation focused on continuous improvement, high standards, and making a positive impact on education. How to Apply If you have the skills and experience to succeed in this Financial Controller role and are looking to advance your career within the education sector, please submit your CV and a cover letter outlining your relevant experience. We look forward to hearing from you. Closing date: Ongoing/ASAP
Lloyd Barnes Recruitment
Financial Controller
Lloyd Barnes Recruitment
Financial Controller Devon (On-site) £75,000 per annum If you are looking for a role where you can genuinely shape the future of a growing, investment backed business, this is one worth exploring. I am currently partnering exclusively with a well-established, large-scale leisure and hospitality operation in Devon that has recently secured private equity backing and is now entering an exciting phase of transformation, investment, and growth. With a significant refurbishment programme underway and ambitious plans to elevate both customer experience and commercial performance, the business is seeking a commercially focused Financial Controller to play a key role in that journey. This is far more than a traditional reporting role. Sitting on the senior leadership team, you will act as a true business partner providing insight, challenging decisions, and helping drive performance across a complex, multi-faceted operation. The Role You will take ownership of the finance function, lead an established on-site team and ensure the delivery of accurate, timely, and insightful financial information. Alongside core financial stewardship, you will work closely with operational leaders to influence strategy, improve performance, and support ongoing transformation. Key areas of focus include: Leading and developing the finance team, ensuring robust processes, controls, and continuous improvement Delivering high quality monthly management accounts with meaningful analysis and actionable insight Providing weekly operational reporting, including revenue and payroll performance Supporting strategic decision making through strong business partnering across departments Managing budgeting, forecasting, and cashflow to support growth and investment plans Overseeing statutory reporting, audit, and compliance under UK GAAP Managing treasury, banking relationships, and funding requirements Ensuring payroll accuracy and efficiency for a large workforce Supporting investor reporting and engagement with private equity stakeholders About You You will be a qualified accountant (ACA, ACCA or CIMA) with strong post-qualified experience in a hands-on Financial Controller or similar role. Just as importantly, you will bring a commercial mindset and the confidence to operate as a key voice within the leadership team. You should be comfortable operating in a fast-paced, operational environment where you can add value beyond the numbers, translating financial data into clear insight and driving better business decisions. Experience in multi-site, leisure, hospitality, or private equity-backed environments would be advantageous, but not essential. Why This Role? A genuine opportunity to shape and influence a high-profile, growing business Private equity backing with clear investment and expansion plans A broad, hands-on role combining financial control with strategic input A collaborative leadership team that values ideas and impact Significant scope for progression as the business continues to scale This is an ideal opportunity for a commercially minded Financial Controller who wants to step into a role with real visibility, influence, and long-term growth potential. For a confidential discussion, please get in touch with Jamie Wall at Lloyd Barnes. Ref: JW15339
Aug 03, 2026
Full time
Financial Controller Devon (On-site) £75,000 per annum If you are looking for a role where you can genuinely shape the future of a growing, investment backed business, this is one worth exploring. I am currently partnering exclusively with a well-established, large-scale leisure and hospitality operation in Devon that has recently secured private equity backing and is now entering an exciting phase of transformation, investment, and growth. With a significant refurbishment programme underway and ambitious plans to elevate both customer experience and commercial performance, the business is seeking a commercially focused Financial Controller to play a key role in that journey. This is far more than a traditional reporting role. Sitting on the senior leadership team, you will act as a true business partner providing insight, challenging decisions, and helping drive performance across a complex, multi-faceted operation. The Role You will take ownership of the finance function, lead an established on-site team and ensure the delivery of accurate, timely, and insightful financial information. Alongside core financial stewardship, you will work closely with operational leaders to influence strategy, improve performance, and support ongoing transformation. Key areas of focus include: Leading and developing the finance team, ensuring robust processes, controls, and continuous improvement Delivering high quality monthly management accounts with meaningful analysis and actionable insight Providing weekly operational reporting, including revenue and payroll performance Supporting strategic decision making through strong business partnering across departments Managing budgeting, forecasting, and cashflow to support growth and investment plans Overseeing statutory reporting, audit, and compliance under UK GAAP Managing treasury, banking relationships, and funding requirements Ensuring payroll accuracy and efficiency for a large workforce Supporting investor reporting and engagement with private equity stakeholders About You You will be a qualified accountant (ACA, ACCA or CIMA) with strong post-qualified experience in a hands-on Financial Controller or similar role. Just as importantly, you will bring a commercial mindset and the confidence to operate as a key voice within the leadership team. You should be comfortable operating in a fast-paced, operational environment where you can add value beyond the numbers, translating financial data into clear insight and driving better business decisions. Experience in multi-site, leisure, hospitality, or private equity-backed environments would be advantageous, but not essential. Why This Role? A genuine opportunity to shape and influence a high-profile, growing business Private equity backing with clear investment and expansion plans A broad, hands-on role combining financial control with strategic input A collaborative leadership team that values ideas and impact Significant scope for progression as the business continues to scale This is an ideal opportunity for a commercially minded Financial Controller who wants to step into a role with real visibility, influence, and long-term growth potential. For a confidential discussion, please get in touch with Jamie Wall at Lloyd Barnes. Ref: JW15339
Marc Daniels
Accountant
Marc Daniels Marlow, Buckinghamshire
Our client a fast paced and growing business based in Marlow are seeking a hands-on Accountant with strong experience in online retail finance to take responsibility for the full accounting cycle of the retail entities within their remit. This is a broad role requiring ownership of bookkeeping, reconciliations, month-end close, management accounts preparation, balance sheet control, and support across reporting, compliance and operational finance. The role will also support the Group Finance Manager in delivering the wider finance remit across the trading businesses. The successful candidate will be comfortable working in a fast-paced trading environment, with a strong understanding of finance processes relevant to online retail, including revenue reconciliation, stock accounting, gross margin analysis and multi-channel sales reporting. Key Responsibilities - Financial Accounting & Bookkeeping Manage the full end-to-end accounting for designated online retail trading entities. Maintain accurate accounting records across purchase ledger, sales ledger, stock, journals, accruals and prepayments. Own the Accounts Receivable and Payable process ensuring timely invoicing, credit control and payment processing Perform bank, credit card, payment gateway and intercompany reconciliations. Maintain fixed asset registers and balance sheet reconciliations. Ensure all transactions are posted accurately and on a timely basis. Key Responsibilities - Management Accounts & Reporting Prepare monthly management accounts for the entities within remit, including profit and loss, balance sheet and cash flow reporting. Support the Group Finance Manager to: Deliver an accurate month-end close to timetable Produce variance analysis and commentary Produce budgets, forecasts and cash flow management. Assist with ad hoc financial analysis to support commercial decision-making. Key Responsibilities - Retail-Focused Finance Support Reconcile revenue across ecommerce platforms, sales channels, payment providers and banking receipts. Support inventory accounting, stock reconciliations and gross margin analysis. Monitor sales, returns, discounts, fulfilment costs and other key retail performance indicators. Support Group Finance Manager input into promotions, pricing analysis and process improvements. Key Responsibilities - Compliance, Controls & Team Support Support VAT returns, audit requests and other statutory compliance requirements. Maintain robust financial controls and ensure supporting documentation is complete and well organised. Assist with year-end processes and preparation of audit deliverables. Work closely with Group Finance Manager to improve reporting, accountability and financial visibility. Provide day-to-day support to the Group Finance Manager across the wider finance remit as required. Candidate Profile Qualifications Qualified AAT, or qualified by experience. Experience Proven experience in a finance role within online retail, ecommerce or consumer products. Strong experience across bookkeeping through to management accounts preparation. Experience of sales reconciliation, stock-related accounting and margin analysis. Experience working across multiple entities or within a group environment would be advantageous. Skills Strong technical accounting and bookkeeping skills. Confident Excel user with strong reconciliation capability. Highly organised, detail-oriented and able to manage deadlines. Hands-on and proactive, with a willingness to get involved in all levels of finance activity. Strong communication skills and ability to work effectively with non-finance stakeholders. What you will experience: A broad and varied role with genuine ownership and responsibility. The opportunity to work closely with the Group Finance Manager and CFO in a lean in-house finance team. Exposure to a dynamic trading environment and the chance to contribute to process improvement across the finance function. This role is fully office based in Marlow with car parking onsite. By applying you will be registered as a candidate with Marc Daniels Specialist Recruitment Limited. Our Privacy Policy is available on our website and explains how we will use your personal data.
Aug 01, 2026
Full time
Our client a fast paced and growing business based in Marlow are seeking a hands-on Accountant with strong experience in online retail finance to take responsibility for the full accounting cycle of the retail entities within their remit. This is a broad role requiring ownership of bookkeeping, reconciliations, month-end close, management accounts preparation, balance sheet control, and support across reporting, compliance and operational finance. The role will also support the Group Finance Manager in delivering the wider finance remit across the trading businesses. The successful candidate will be comfortable working in a fast-paced trading environment, with a strong understanding of finance processes relevant to online retail, including revenue reconciliation, stock accounting, gross margin analysis and multi-channel sales reporting. Key Responsibilities - Financial Accounting & Bookkeeping Manage the full end-to-end accounting for designated online retail trading entities. Maintain accurate accounting records across purchase ledger, sales ledger, stock, journals, accruals and prepayments. Own the Accounts Receivable and Payable process ensuring timely invoicing, credit control and payment processing Perform bank, credit card, payment gateway and intercompany reconciliations. Maintain fixed asset registers and balance sheet reconciliations. Ensure all transactions are posted accurately and on a timely basis. Key Responsibilities - Management Accounts & Reporting Prepare monthly management accounts for the entities within remit, including profit and loss, balance sheet and cash flow reporting. Support the Group Finance Manager to: Deliver an accurate month-end close to timetable Produce variance analysis and commentary Produce budgets, forecasts and cash flow management. Assist with ad hoc financial analysis to support commercial decision-making. Key Responsibilities - Retail-Focused Finance Support Reconcile revenue across ecommerce platforms, sales channels, payment providers and banking receipts. Support inventory accounting, stock reconciliations and gross margin analysis. Monitor sales, returns, discounts, fulfilment costs and other key retail performance indicators. Support Group Finance Manager input into promotions, pricing analysis and process improvements. Key Responsibilities - Compliance, Controls & Team Support Support VAT returns, audit requests and other statutory compliance requirements. Maintain robust financial controls and ensure supporting documentation is complete and well organised. Assist with year-end processes and preparation of audit deliverables. Work closely with Group Finance Manager to improve reporting, accountability and financial visibility. Provide day-to-day support to the Group Finance Manager across the wider finance remit as required. Candidate Profile Qualifications Qualified AAT, or qualified by experience. Experience Proven experience in a finance role within online retail, ecommerce or consumer products. Strong experience across bookkeeping through to management accounts preparation. Experience of sales reconciliation, stock-related accounting and margin analysis. Experience working across multiple entities or within a group environment would be advantageous. Skills Strong technical accounting and bookkeeping skills. Confident Excel user with strong reconciliation capability. Highly organised, detail-oriented and able to manage deadlines. Hands-on and proactive, with a willingness to get involved in all levels of finance activity. Strong communication skills and ability to work effectively with non-finance stakeholders. What you will experience: A broad and varied role with genuine ownership and responsibility. The opportunity to work closely with the Group Finance Manager and CFO in a lean in-house finance team. Exposure to a dynamic trading environment and the chance to contribute to process improvement across the finance function. This role is fully office based in Marlow with car parking onsite. By applying you will be registered as a candidate with Marc Daniels Specialist Recruitment Limited. Our Privacy Policy is available on our website and explains how we will use your personal data.
CMA Recruitment Group
Group Senior Management Accountant
CMA Recruitment Group Guildford, Surrey
CMA Recruitment Group are supporting an established professional services organisation based in Guildford who are looking to recruit an interim Group Senior Management Accountant. This is an excellent opportunity to join a dynamic organisation recognised for its collaborative culture and commitment to excellence. The successful candidate will be a qualified accountant with strong management accounting and financial reporting experience, ideally gained within a multi-entity and multi-currency environment. You will possess excellent attention to detail, a proactive mindset and the ability to deliver accurate financial information and insightful analysis to support key business decisions. What will the Group Senior Management Accountant role involve? Month-end and year-end close process, including balance sheet reconciliations, journal postings, bank reconciliations and sign-off to ensure accurate and timely financial reporting Lead statutory audit preparation, VAT reporting and compliance activities, maintaining robust financial controls and resolving accounting queries across the business Deliver insightful financial analysis, including margin reporting, variance analysis, revenue and profitability reporting, while supporting budgeting and forecasting processes Manage and develop two direct reports, partnering with operational teams to resolve AR/AP issues and driving continuous improvements to reporting processes and financial systems Suitable Candidate for the Group Senior Management Accountant vacancy: Proven experience within a multi-region, multi-currency finance environment, with strong technical accounting expertise and financial systems knowledge Strong commercial awareness, able to analyse complex financial data and provide meaningful insights to support business performance and change initiatives Previous people management experience, with the ability to lead, develop and support finance team members while engaging effectively with stakeholders Highly organised and detail-oriented, with advanced Excel skills and a proven ability to manage priorities, meet deadlines and perform under pressure Additional benefits and information for the role of Group Senior Management Accountant: Friendly and collaborative team Hybrid working Opportunity for role to become permanent Hourly rate dependent on experience CMA Recruitment Group is acting as a recruitment business 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 31, 2026
Seasonal
CMA Recruitment Group are supporting an established professional services organisation based in Guildford who are looking to recruit an interim Group Senior Management Accountant. This is an excellent opportunity to join a dynamic organisation recognised for its collaborative culture and commitment to excellence. The successful candidate will be a qualified accountant with strong management accounting and financial reporting experience, ideally gained within a multi-entity and multi-currency environment. You will possess excellent attention to detail, a proactive mindset and the ability to deliver accurate financial information and insightful analysis to support key business decisions. What will the Group Senior Management Accountant role involve? Month-end and year-end close process, including balance sheet reconciliations, journal postings, bank reconciliations and sign-off to ensure accurate and timely financial reporting Lead statutory audit preparation, VAT reporting and compliance activities, maintaining robust financial controls and resolving accounting queries across the business Deliver insightful financial analysis, including margin reporting, variance analysis, revenue and profitability reporting, while supporting budgeting and forecasting processes Manage and develop two direct reports, partnering with operational teams to resolve AR/AP issues and driving continuous improvements to reporting processes and financial systems Suitable Candidate for the Group Senior Management Accountant vacancy: Proven experience within a multi-region, multi-currency finance environment, with strong technical accounting expertise and financial systems knowledge Strong commercial awareness, able to analyse complex financial data and provide meaningful insights to support business performance and change initiatives Previous people management experience, with the ability to lead, develop and support finance team members while engaging effectively with stakeholders Highly organised and detail-oriented, with advanced Excel skills and a proven ability to manage priorities, meet deadlines and perform under pressure Additional benefits and information for the role of Group Senior Management Accountant: Friendly and collaborative team Hybrid working Opportunity for role to become permanent Hourly rate dependent on experience CMA Recruitment Group is acting as a recruitment business 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.
Cherry Professional
Management Accountant
Cherry Professional Langley Mill, Derbyshire
Management Accountant Nottingham Hybrid Working 55,000 - 60,000 + Benefits Are you a qualified accountant looking for a role that goes beyond the month-end cycle? Our client is a well-established and growing business seeking a commercially minded Management Accountant to join its finance team during an exciting period of expansion and investment. This opportunity would suit an ambitious finance professional who enjoys partnering with operational leaders, providing meaningful financial insight and helping shape business decisions. You'll be joining an organisation where finance is seen as a strategic function, with genuine opportunity to influence performance and support future growth. The Role Working within a collaborative finance team, you'll play a key role in delivering accurate financial reporting, analysing business performance and supporting wider commercial objectives. Key responsibilities will include: Producing monthly management information and commentary Analysing financial and operational performance across multiple revenue streams Supporting budgeting, forecasting and planning processes Identifying trends, risks and opportunities within financial results Partnering with stakeholders to improve understanding of performance drivers Supporting the development of reporting and analytical capabilities Assisting with business improvement and cost optimisation initiatives Contributing to projects that enhance efficiency, controls and decision-making About You: We're keen to speak with candidates who can demonstrate: ACA, ACCA or CIMA qualification (or finalist status) Previous experience in a management accounting or business-facing finance role Strong analytical skills with the ability to interpret and communicate financial information clearly Advanced Excel capabilities and confidence working with large data sets A proactive and commercially focused mindset Excellent communication and stakeholder management skills What's on Offer? 55,000 - 60,000 Hybrid working arrangement Strong benefits package Professional development opportunities Exposure to senior stakeholders A genuine opportunity to influence business performance and contribute to strategic growth If you're looking for a role where you can combine strong technical accounting skills with commercial influence and career progression, we'd be delighted to hear from you. All applications will be treated in the strictest confidence. Cherry Professional are recruiting for this opportunity on behalf of our client. Please view our Privacy Policy on our website to understand how your data will be used if you apply for this role.
Jul 31, 2026
Full time
Management Accountant Nottingham Hybrid Working 55,000 - 60,000 + Benefits Are you a qualified accountant looking for a role that goes beyond the month-end cycle? Our client is a well-established and growing business seeking a commercially minded Management Accountant to join its finance team during an exciting period of expansion and investment. This opportunity would suit an ambitious finance professional who enjoys partnering with operational leaders, providing meaningful financial insight and helping shape business decisions. You'll be joining an organisation where finance is seen as a strategic function, with genuine opportunity to influence performance and support future growth. The Role Working within a collaborative finance team, you'll play a key role in delivering accurate financial reporting, analysing business performance and supporting wider commercial objectives. Key responsibilities will include: Producing monthly management information and commentary Analysing financial and operational performance across multiple revenue streams Supporting budgeting, forecasting and planning processes Identifying trends, risks and opportunities within financial results Partnering with stakeholders to improve understanding of performance drivers Supporting the development of reporting and analytical capabilities Assisting with business improvement and cost optimisation initiatives Contributing to projects that enhance efficiency, controls and decision-making About You: We're keen to speak with candidates who can demonstrate: ACA, ACCA or CIMA qualification (or finalist status) Previous experience in a management accounting or business-facing finance role Strong analytical skills with the ability to interpret and communicate financial information clearly Advanced Excel capabilities and confidence working with large data sets A proactive and commercially focused mindset Excellent communication and stakeholder management skills What's on Offer? 55,000 - 60,000 Hybrid working arrangement Strong benefits package Professional development opportunities Exposure to senior stakeholders A genuine opportunity to influence business performance and contribute to strategic growth If you're looking for a role where you can combine strong technical accounting skills with commercial influence and career progression, we'd be delighted to hear from you. All applications will be treated in the strictest confidence. Cherry Professional are recruiting for this opportunity on behalf of our client. Please view our Privacy Policy on our website to understand how your data will be used if you apply for this role.
Marc Daniels
Accountant
Marc Daniels Marlow, Buckinghamshire
Our client a fast paced and growing business based in Marlow are seeking a hands-on Accountant with strong experience in online retail finance to take responsibility for the full accounting cycle of the retail entities within their remit. This is a broad role requiring ownership of bookkeeping, reconciliations, month-end close, management accounts preparation, balance sheet control, and support across reporting, compliance and operational finance. The role will also support the Group Finance Manager in delivering the wider finance remit across the trading businesses. The successful candidate will be comfortable working in a fast-paced trading environment, with a strong understanding of finance processes relevant to online retail, including revenue reconciliation, stock accounting, gross margin analysis and multi-channel sales reporting. Key Responsibilities - Financial Accounting & Bookkeeping Manage the full end-to-end accounting for designated online retail trading entities. Maintain accurate accounting records across purchase ledger, sales ledger, stock, journals, accruals and prepayments. Own the Accounts Receivable and Payable process ensuring timely invoicing, credit control and payment processing Perform bank, credit card, payment gateway and intercompany reconciliations. Maintain fixed asset registers and balance sheet reconciliations. Ensure all transactions are posted accurately and on a timely basis. Key Responsibilities - Management Accounts & Reporting Prepare monthly management accounts for the entities within remit, including profit and loss, balance sheet and cash flow reporting. Support the Group Finance Manager to: Deliver an accurate month-end close to timetable Produce variance analysis and commentary Produce budgets, forecasts and cash flow management. Assist with ad hoc financial analysis to support commercial decision-making. Key Responsibilities - Retail-Focused Finance Support Reconcile revenue across ecommerce platforms, sales channels, payment providers and banking receipts. Support inventory accounting, stock reconciliations and gross margin analysis. Monitor sales, returns, discounts, fulfilment costs and other key retail performance indicators. Support Group Finance Manager input into promotions, pricing analysis and process improvements. Key Responsibilities - Compliance, Controls & Team Support Support VAT returns, audit requests and other statutory compliance requirements. Maintain robust financial controls and ensure supporting documentation is complete and well organised. Assist with year-end processes and preparation of audit deliverables. Work closely with Group Finance Manager to improve reporting, accountability and financial visibility. Provide day-to-day support to the Group Finance Manager across the wider finance remit as required. Candidate Profile Qualifications Qualified AAT, or qualified by experience. Experience Proven experience in a finance role within online retail, ecommerce or consumer products. Strong experience across bookkeeping through to management accounts preparation. Experience of sales reconciliation, stock-related accounting and margin analysis. Experience working across multiple entities or within a group environment would be advantageous. Skills Strong technical accounting and bookkeeping skills. Confident Excel user with strong reconciliation capability. Highly organised, detail-oriented and able to manage deadlines. Hands-on and proactive, with a willingness to get involved in all levels of finance activity. Strong communication skills and ability to work effectively with non-finance stakeholders. What you will experience: A broad and varied role with genuine ownership and responsibility. The opportunity to work closely with the Group Finance Manager and CFO in a lean in-house finance team. Exposure to a dynamic trading environment and the chance to contribute to process improvement across the finance function. This role is fully office based in Marlow with car parking onsite. By applying you will be registered as a candidate with Marc Daniels Specialist Recruitment Limited. Our Privacy Policy is available on our website and explains how we will use your personal data.
Jul 31, 2026
Full time
Our client a fast paced and growing business based in Marlow are seeking a hands-on Accountant with strong experience in online retail finance to take responsibility for the full accounting cycle of the retail entities within their remit. This is a broad role requiring ownership of bookkeeping, reconciliations, month-end close, management accounts preparation, balance sheet control, and support across reporting, compliance and operational finance. The role will also support the Group Finance Manager in delivering the wider finance remit across the trading businesses. The successful candidate will be comfortable working in a fast-paced trading environment, with a strong understanding of finance processes relevant to online retail, including revenue reconciliation, stock accounting, gross margin analysis and multi-channel sales reporting. Key Responsibilities - Financial Accounting & Bookkeeping Manage the full end-to-end accounting for designated online retail trading entities. Maintain accurate accounting records across purchase ledger, sales ledger, stock, journals, accruals and prepayments. Own the Accounts Receivable and Payable process ensuring timely invoicing, credit control and payment processing Perform bank, credit card, payment gateway and intercompany reconciliations. Maintain fixed asset registers and balance sheet reconciliations. Ensure all transactions are posted accurately and on a timely basis. Key Responsibilities - Management Accounts & Reporting Prepare monthly management accounts for the entities within remit, including profit and loss, balance sheet and cash flow reporting. Support the Group Finance Manager to: Deliver an accurate month-end close to timetable Produce variance analysis and commentary Produce budgets, forecasts and cash flow management. Assist with ad hoc financial analysis to support commercial decision-making. Key Responsibilities - Retail-Focused Finance Support Reconcile revenue across ecommerce platforms, sales channels, payment providers and banking receipts. Support inventory accounting, stock reconciliations and gross margin analysis. Monitor sales, returns, discounts, fulfilment costs and other key retail performance indicators. Support Group Finance Manager input into promotions, pricing analysis and process improvements. Key Responsibilities - Compliance, Controls & Team Support Support VAT returns, audit requests and other statutory compliance requirements. Maintain robust financial controls and ensure supporting documentation is complete and well organised. Assist with year-end processes and preparation of audit deliverables. Work closely with Group Finance Manager to improve reporting, accountability and financial visibility. Provide day-to-day support to the Group Finance Manager across the wider finance remit as required. Candidate Profile Qualifications Qualified AAT, or qualified by experience. Experience Proven experience in a finance role within online retail, ecommerce or consumer products. Strong experience across bookkeeping through to management accounts preparation. Experience of sales reconciliation, stock-related accounting and margin analysis. Experience working across multiple entities or within a group environment would be advantageous. Skills Strong technical accounting and bookkeeping skills. Confident Excel user with strong reconciliation capability. Highly organised, detail-oriented and able to manage deadlines. Hands-on and proactive, with a willingness to get involved in all levels of finance activity. Strong communication skills and ability to work effectively with non-finance stakeholders. What you will experience: A broad and varied role with genuine ownership and responsibility. The opportunity to work closely with the Group Finance Manager and CFO in a lean in-house finance team. Exposure to a dynamic trading environment and the chance to contribute to process improvement across the finance function. This role is fully office based in Marlow with car parking onsite. By applying you will be registered as a candidate with Marc Daniels Specialist Recruitment Limited. Our Privacy Policy is available on our website and explains how we will use your personal data.
Deekay Technical Recruitment
SNR ACCOUNTANT
Deekay Technical Recruitment Newbury, Berkshire
SNR ACCOUNTANT To provide the accountancy support for services, liaising with and advising budget managers on compliance with accountancy regulations, local guidelines and processes ensuring a robust financial control framework is operational across the Council. To ensure that management is provided with timely, complete and relevant advice, guidance and information which will enable them to discharge their financial obligations and undertake robust strategic decision making. Responsibilities include but are not exclusive to: Ensuring that policies detailed by the s151 officer and deputy are implemented into the work areas covered by the Team. This will involve initiating and designing systems and procedures to suit the requirements of the individual Team and the service unit Managers. Responsible in conjunction with the Finance Manager for ensuring that the standard of work undertaken by their team is maintained and developed to keep pace with changing legislation and the needs of the Client departments. Liaise directly with the appropriate service unit on both formal and an ad hoc basis to provide detailed financial advice. This advice will cover all aspects of financial and management accounting, budget setting and yearend accounts. The post holder will be responsible for monitoring the service unit s adherence to the Councils standing orders and financial regulations by reviewing budgetary control reports and by advising the client at the design stage of any new project. Responsible for the completion of revenue estimates for the areas of responsibility. Ensuring that budget strategies determined by the Council are fully understood by the unit and are properly implemented. Responsible for the production of final accounts for all areas covered by their team. Ensuring that accurate and detailed papers are prepared by the team. Responsible for ensuring that the control functions covered by the team are properly completed including regular reconciliation processes are undertaken and completed. Design and interpretation of management information for the service unit, and individual Managers. This will involve the application of the full range of accounting techniques combined with an understanding of spreadsheets and the information held by feeder systems. Completion of statutory returns. FULL JOB SPEC ON REQUEST
Jul 31, 2026
Contractor
SNR ACCOUNTANT To provide the accountancy support for services, liaising with and advising budget managers on compliance with accountancy regulations, local guidelines and processes ensuring a robust financial control framework is operational across the Council. To ensure that management is provided with timely, complete and relevant advice, guidance and information which will enable them to discharge their financial obligations and undertake robust strategic decision making. Responsibilities include but are not exclusive to: Ensuring that policies detailed by the s151 officer and deputy are implemented into the work areas covered by the Team. This will involve initiating and designing systems and procedures to suit the requirements of the individual Team and the service unit Managers. Responsible in conjunction with the Finance Manager for ensuring that the standard of work undertaken by their team is maintained and developed to keep pace with changing legislation and the needs of the Client departments. Liaise directly with the appropriate service unit on both formal and an ad hoc basis to provide detailed financial advice. This advice will cover all aspects of financial and management accounting, budget setting and yearend accounts. The post holder will be responsible for monitoring the service unit s adherence to the Councils standing orders and financial regulations by reviewing budgetary control reports and by advising the client at the design stage of any new project. Responsible for the completion of revenue estimates for the areas of responsibility. Ensuring that budget strategies determined by the Council are fully understood by the unit and are properly implemented. Responsible for the production of final accounts for all areas covered by their team. Ensuring that accurate and detailed papers are prepared by the team. Responsible for ensuring that the control functions covered by the team are properly completed including regular reconciliation processes are undertaken and completed. Design and interpretation of management information for the service unit, and individual Managers. This will involve the application of the full range of accounting techniques combined with an understanding of spreadsheets and the information held by feeder systems. Completion of statutory returns. FULL JOB SPEC ON REQUEST
SF Partners
Management Accountant
SF Partners Crawley, Sussex
Qualified Management Accountant Temporary to Permanent South London Hybrid (3 Days Office / 2 Days Home) SF Partners are delighted to be partnering with a fast-paced, growing business to recruit a Qualified Management Accountant for a temporary-to-permanent opportunity. Reporting directly to the Finance Director, this is a fantastic opportunity for a commercially minded hands on accountant to join the business during an exciting period while covering a secondment, with the view to securing a permanent position. This role is suited to a fully qualified accountant (ACA, ACCA or CIMA) who can hit the ground running and is available immediately or at short notice. The Role You will take ownership of the monthly finance cycle, providing accurate financial reporting and commercial insight to support business decision-making. Key responsibilities include: Preparation of monthly management accounts Leading the month-end close process Budgeting, forecasting and cash flow reporting Balance sheet reconciliations Posting journals and ensuring financial accuracy Variance analysis with clear commentary Opex and Capex reporting and analysis Revenue reporting and commercial performance analysis Supporting the Finance Director with strategic financial projects and ad hoc analysis About You To be considered, you will: Be ACA, ACCA or CIMA qualified Have previous experience in a Management Accountant or Finance Manager position within a commercial business Be confident producing a full set of management accounts with minimal supervision Possess strong analytical skills and excellent attention to detail Be proactive, commercially focused and comfortable working in a fast-moving environment Be available immediately or at short notice What's on Offer Temporary-to-permanent opportunity Hybrid working 3 days in the office and 2 days working from home Exposure to a fast-paced, commercially focused business Direct access to and mentoring from the Finance Director Competitive salary or day rate depending on experience Please note: This role requires travel between Coventry and South London , so applicants must be able to travel to both locations as required.
Jul 31, 2026
Seasonal
Qualified Management Accountant Temporary to Permanent South London Hybrid (3 Days Office / 2 Days Home) SF Partners are delighted to be partnering with a fast-paced, growing business to recruit a Qualified Management Accountant for a temporary-to-permanent opportunity. Reporting directly to the Finance Director, this is a fantastic opportunity for a commercially minded hands on accountant to join the business during an exciting period while covering a secondment, with the view to securing a permanent position. This role is suited to a fully qualified accountant (ACA, ACCA or CIMA) who can hit the ground running and is available immediately or at short notice. The Role You will take ownership of the monthly finance cycle, providing accurate financial reporting and commercial insight to support business decision-making. Key responsibilities include: Preparation of monthly management accounts Leading the month-end close process Budgeting, forecasting and cash flow reporting Balance sheet reconciliations Posting journals and ensuring financial accuracy Variance analysis with clear commentary Opex and Capex reporting and analysis Revenue reporting and commercial performance analysis Supporting the Finance Director with strategic financial projects and ad hoc analysis About You To be considered, you will: Be ACA, ACCA or CIMA qualified Have previous experience in a Management Accountant or Finance Manager position within a commercial business Be confident producing a full set of management accounts with minimal supervision Possess strong analytical skills and excellent attention to detail Be proactive, commercially focused and comfortable working in a fast-moving environment Be available immediately or at short notice What's on Offer Temporary-to-permanent opportunity Hybrid working 3 days in the office and 2 days working from home Exposure to a fast-paced, commercially focused business Direct access to and mentoring from the Finance Director Competitive salary or day rate depending on experience Please note: This role requires travel between Coventry and South London , so applicants must be able to travel to both locations as required.
SF Partners
Project Accountant
SF Partners Ryton On Dunsmore, Warwickshire
SF Partners are delighted to be working on an exciting opportunity for a commercially minded Project Accountant role within a leading Coventry based business. Working closely with Project Managers and operational teams, you'll support the financial performance of multiple projects, providing insight, challenge and financial control from tender stage through to project completion. Key Responsibilities Partner with Project Managers to monitor project performance and profitability. Prepare project forecasts, budgets and financial reports. Analyse variances and provide commercial insight. Ensure accurate project costing and revenue recognition. Monitor WIP, cash flow, billing and working capital. Support tender reviews and commercial decision-making. Maintain strong financial controls and reporting standards. Work closely with operational teams. About You You'll have experience within a project-based finance role, ideally in construction, engineering or a similar environment. You'll also have: Strong project accounting and commercial finance experience. Budgeting, forecasting and financial analysis skills. Knowledge of revenue recognition and project costing. Strong Excel and ERP system experience. Excellent communication and stakeholder management skills. This is an excellent opportunity to join a well-established international business where you'll play a key role in improving project performance and supporting commercial decision-making. You'll work closely with senior stakeholders, gain exposure to major projects and have genuine opportunities to develop your career.
Jul 31, 2026
Full time
SF Partners are delighted to be working on an exciting opportunity for a commercially minded Project Accountant role within a leading Coventry based business. Working closely with Project Managers and operational teams, you'll support the financial performance of multiple projects, providing insight, challenge and financial control from tender stage through to project completion. Key Responsibilities Partner with Project Managers to monitor project performance and profitability. Prepare project forecasts, budgets and financial reports. Analyse variances and provide commercial insight. Ensure accurate project costing and revenue recognition. Monitor WIP, cash flow, billing and working capital. Support tender reviews and commercial decision-making. Maintain strong financial controls and reporting standards. Work closely with operational teams. About You You'll have experience within a project-based finance role, ideally in construction, engineering or a similar environment. You'll also have: Strong project accounting and commercial finance experience. Budgeting, forecasting and financial analysis skills. Knowledge of revenue recognition and project costing. Strong Excel and ERP system experience. Excellent communication and stakeholder management skills. This is an excellent opportunity to join a well-established international business where you'll play a key role in improving project performance and supporting commercial decision-making. You'll work closely with senior stakeholders, gain exposure to major projects and have genuine opportunities to develop your career.
Sellick Partnership
Revenue Accountant
Sellick Partnership
Role Title: Revenue Accountant Type: Interim 3 to 6-month contract Day Rate: Competitive Hybrid: Onsite presence is a requirement Location: Leicestershire Sellick Partnership are working with a Local Authority in Leicestershire who are seeking an experienced Revenue Accountant to provide specialist support across revenue accounting, financial reporting and external audit. This is an excellent opportunity to join a busy finance team supporting key statutory reporting requirements and ensuring the accuracy of the Council's financial records. The responsibilities of the Revenue Accountant will be: Responding to external audit queries and supporting audit sampling Completing key balance sheet reconciliations Reviewing reconciliations prepared by other accountancy teams Supporting the production of quarterly revenue monitoring reports Leading on the Whole of Government Accounts (WGA) submission Supporting year-end financial reporting activities The ideal candidate for the Revenue Accountant role will have: Previous Local Government finance experience Strong revenue accounting knowledge Experience supporting external audits Experience preparing or reviewing balance sheet reconciliations Previous involvement in Whole of Government Accounts (WGA) Excellent attention to detail and stakeholder management skills How to apply for the Revenue Accountant role: If you believe that you are well suited to this excellent opportunity of Revenue Accountant, please apply directly or contact Tim Farnsworth at Sellick Partnership Derby Office for more information. CVs will be screened and sent over to the client for shortlisting, with successful applicants being contacted to arrange interviews as soon as possible. Sellick Partnership is proud to be an inclusive and accessible recruitment business and we support applications from candidates of all backgrounds and circumstances. Please note, our advertisements use years' experience, hourly rates, and salary levels purely as a guide and we assess applications based on the experience and skills evidenced on the CV. For information on how your personal details may be used by Sellick Partnership, please review our data processing notice on our website.
Jul 31, 2026
Contractor
Role Title: Revenue Accountant Type: Interim 3 to 6-month contract Day Rate: Competitive Hybrid: Onsite presence is a requirement Location: Leicestershire Sellick Partnership are working with a Local Authority in Leicestershire who are seeking an experienced Revenue Accountant to provide specialist support across revenue accounting, financial reporting and external audit. This is an excellent opportunity to join a busy finance team supporting key statutory reporting requirements and ensuring the accuracy of the Council's financial records. The responsibilities of the Revenue Accountant will be: Responding to external audit queries and supporting audit sampling Completing key balance sheet reconciliations Reviewing reconciliations prepared by other accountancy teams Supporting the production of quarterly revenue monitoring reports Leading on the Whole of Government Accounts (WGA) submission Supporting year-end financial reporting activities The ideal candidate for the Revenue Accountant role will have: Previous Local Government finance experience Strong revenue accounting knowledge Experience supporting external audits Experience preparing or reviewing balance sheet reconciliations Previous involvement in Whole of Government Accounts (WGA) Excellent attention to detail and stakeholder management skills How to apply for the Revenue Accountant role: If you believe that you are well suited to this excellent opportunity of Revenue Accountant, please apply directly or contact Tim Farnsworth at Sellick Partnership Derby Office for more information. CVs will be screened and sent over to the client for shortlisting, with successful applicants being contacted to arrange interviews as soon as possible. Sellick Partnership is proud to be an inclusive and accessible recruitment business and we support applications from candidates of all backgrounds and circumstances. Please note, our advertisements use years' experience, hourly rates, and salary levels purely as a guide and we assess applications based on the experience and skills evidenced on the CV. For information on how your personal details may be used by Sellick Partnership, please review our data processing notice on our website.
Experis
BTGJP - Finance Control Manager
Experis Bitton, Gloucestershire
Financial Accounting & Controls Manager (Contract) Location: Bristol (Hybrid) Security Clearance: BPSS Required Rate: 500 per day via Umbrella) Contract Length: Initial 3 Months Start Date: ASAP The Opportunity We are seeking an experienced Financial Accounting & Controls Manager to join a high-profile finance team supporting a large-scale, mission-critical programme. This role will play a key part in driving transformation across financial accounting, controls, governance, and reporting processes. Working within a complex and fast-paced environment, you will help strengthen confidence in financial reporting, improve control frameworks, and support the standardisation and optimisation of accounting processes across the business. This is an excellent opportunity for a technically strong accountant who enjoys combining financial control, governance, process improvement, and business partnering. Key Responsibilities Financial Reporting & Accounting Ensure financial results are accurately recorded in the General Ledger with full integrity, compliance, and auditability. Review and approve accounting treatments for complex transactions and business activities. Prepare technical accounting papers and support key accounting judgements. Ensure compliance with internal accounting policies and external regulatory requirements. Support monthly, quarterly, and year-end financial reporting processes. Financial Controls & Governance Own and maintain robust financial processes and control frameworks. Ensure controls are appropriately documented, tested, and operating effectively. Support the continuous improvement of governance and compliance standards. Drive consistency, standardisation, and best practice across accounting processes. Technical Accounting Provide technical accounting support across several key areas, including: Complex contract accounting and associated judgements Revenue recognition and deferred cost accounting Accounting policy interpretation and compliance P&L classification reviews Performance obligation assessments Lease accounting (IFRS 16) Provision accounting and annual reassessments (IAS 37) Preparation of accounting papers to support management and audit reviews Process Improvement & Transformation Identify opportunities to improve efficiency and strengthen financial controls. Support initiatives aimed at accelerating the month-end close process. Drive process standardisation and automation across finance activities. Work closely with stakeholders to embed improvements and enhance reporting quality. Candidate Profile Essential Experience Qualified Accountant (ACA, ACCA, CIMA or equivalent). Strong technical accounting knowledge and understanding of IFRS. Proven experience preparing accounting papers and supporting complex accounting decisions. Experience operating within robust financial control and governance environments. Strong month-end, reporting, and financial controls background. Ability to analyse issues, provide solutions, and drive process improvements. Excellent stakeholder management and communication skills. Desirable Experience Experience working within large, complex organisations. Exposure to finance transformation or change programmes. Knowledge of IFRS 15, IFRS 16, and IAS 37. Experience working on large projects or programme environments. Background in regulated industries would be advantageous. If you receive suspicious outreach claiming to be from us, please contact us via the ManpowerGroup website.
Jul 31, 2026
Contractor
Financial Accounting & Controls Manager (Contract) Location: Bristol (Hybrid) Security Clearance: BPSS Required Rate: 500 per day via Umbrella) Contract Length: Initial 3 Months Start Date: ASAP The Opportunity We are seeking an experienced Financial Accounting & Controls Manager to join a high-profile finance team supporting a large-scale, mission-critical programme. This role will play a key part in driving transformation across financial accounting, controls, governance, and reporting processes. Working within a complex and fast-paced environment, you will help strengthen confidence in financial reporting, improve control frameworks, and support the standardisation and optimisation of accounting processes across the business. This is an excellent opportunity for a technically strong accountant who enjoys combining financial control, governance, process improvement, and business partnering. Key Responsibilities Financial Reporting & Accounting Ensure financial results are accurately recorded in the General Ledger with full integrity, compliance, and auditability. Review and approve accounting treatments for complex transactions and business activities. Prepare technical accounting papers and support key accounting judgements. Ensure compliance with internal accounting policies and external regulatory requirements. Support monthly, quarterly, and year-end financial reporting processes. Financial Controls & Governance Own and maintain robust financial processes and control frameworks. Ensure controls are appropriately documented, tested, and operating effectively. Support the continuous improvement of governance and compliance standards. Drive consistency, standardisation, and best practice across accounting processes. Technical Accounting Provide technical accounting support across several key areas, including: Complex contract accounting and associated judgements Revenue recognition and deferred cost accounting Accounting policy interpretation and compliance P&L classification reviews Performance obligation assessments Lease accounting (IFRS 16) Provision accounting and annual reassessments (IAS 37) Preparation of accounting papers to support management and audit reviews Process Improvement & Transformation Identify opportunities to improve efficiency and strengthen financial controls. Support initiatives aimed at accelerating the month-end close process. Drive process standardisation and automation across finance activities. Work closely with stakeholders to embed improvements and enhance reporting quality. Candidate Profile Essential Experience Qualified Accountant (ACA, ACCA, CIMA or equivalent). Strong technical accounting knowledge and understanding of IFRS. Proven experience preparing accounting papers and supporting complex accounting decisions. Experience operating within robust financial control and governance environments. Strong month-end, reporting, and financial controls background. Ability to analyse issues, provide solutions, and drive process improvements. Excellent stakeholder management and communication skills. Desirable Experience Experience working within large, complex organisations. Exposure to finance transformation or change programmes. Knowledge of IFRS 15, IFRS 16, and IAS 37. Experience working on large projects or programme environments. Background in regulated industries would be advantageous. If you receive suspicious outreach claiming to be from us, please contact us via the ManpowerGroup website.
Gleeson Recruitment Group
Group Financial Accountant
Gleeson Recruitment Group
Gleeson Recruitment Group are supporting a fast-growing, international listed group with revenues exceeding 1 billion. Due to continued growth and strategic expansion, they are looking to appoint a Group Reporting Accountant to join their high-calibre central finance team. This is an exceptional opportunity for a qualified accountant to gain broad exposure across a global business, working closely with senior finance leadership and international stakeholders. The Role Working within the Group Finance function, you will play a key role in supporting financial reporting and consolidation activities across the international group. Responsibilities will include: Supporting the consolidation of monthly results from UK and international entities Assisting with monthly, quarterly and statutory reporting requirements Producing financial information and analysis for the Executive Board, lenders and other stakeholders Partnering with Finance Directors and local finance teams across multiple international locations Preparing commercial and strategic analysis to support business decision-making, financing activities and M&A projects Working alongside external advisors on a variety of finance and reporting-related projects Assisting with the integration and onboarding of newly acquired businesses Supporting the maintenance of head office accounts and related reporting activities The Candidate We are keen to speak with ambitious accountants who are looking to develop their careers within a dynamic, entrepreneurial listed environment. Key requirements include: Qualified ACA, ACCA or CIMA Experience gained in either practice or industry Consolidation experience would be advantageous but is not essential Strong analytical and problem-solving skills Excellent interpersonal and stakeholder management abilities A proactive, hands-on approach and willingness to get involved across a broad range of finance activities At Gleeson Recruitment Group, we embrace inclusivity and welcome applicants of all backgrounds, experiences, and abilities. We are proud to be a disability confident employer. By applying you will be registered as a candidate with Gleeson Recruitment Limited. Our Privacy Policy is available on our website and explains how we will use your data.
Jul 31, 2026
Full time
Gleeson Recruitment Group are supporting a fast-growing, international listed group with revenues exceeding 1 billion. Due to continued growth and strategic expansion, they are looking to appoint a Group Reporting Accountant to join their high-calibre central finance team. This is an exceptional opportunity for a qualified accountant to gain broad exposure across a global business, working closely with senior finance leadership and international stakeholders. The Role Working within the Group Finance function, you will play a key role in supporting financial reporting and consolidation activities across the international group. Responsibilities will include: Supporting the consolidation of monthly results from UK and international entities Assisting with monthly, quarterly and statutory reporting requirements Producing financial information and analysis for the Executive Board, lenders and other stakeholders Partnering with Finance Directors and local finance teams across multiple international locations Preparing commercial and strategic analysis to support business decision-making, financing activities and M&A projects Working alongside external advisors on a variety of finance and reporting-related projects Assisting with the integration and onboarding of newly acquired businesses Supporting the maintenance of head office accounts and related reporting activities The Candidate We are keen to speak with ambitious accountants who are looking to develop their careers within a dynamic, entrepreneurial listed environment. Key requirements include: Qualified ACA, ACCA or CIMA Experience gained in either practice or industry Consolidation experience would be advantageous but is not essential Strong analytical and problem-solving skills Excellent interpersonal and stakeholder management abilities A proactive, hands-on approach and willingness to get involved across a broad range of finance activities At Gleeson Recruitment Group, we embrace inclusivity and welcome applicants of all backgrounds, experiences, and abilities. We are proud to be a disability confident employer. By applying you will be registered as a candidate with Gleeson Recruitment Limited. Our Privacy Policy is available on our website and explains how we will use your data.
Hays Senior Finance
Commercial Finance Manager
Hays Senior Finance Ipswich, Suffolk
Your new company Hays are partnering exclusively with a highly successful and growing business, who deliver a range of exceptional services to their customers. You will be working within the UK division of an international group and will play a vital part in a key project they are delivering. Your new role This is a newly created role that will work in close partnership with the leadership team. This role is responsible for leading the strategic financial management - providing actionable insights and commercial analysis that drive profitable growth and data-informed decision-making aligned with business objectives. Additionally, the role supports key customer accounts, ensuring a strong financial focus across the business to deliver services in full alignment with contractual agreements. Specifically, your responsibilities will be to: Partner with commercial, sales and operation teams to evaluate business performance, pricing strategy and profitability. Deliver timely and accurate management reports to the board that include clear insights and recommendations that drive performance and profit. Support the local leadership team(s) with robust business cases, forecasts and scenario planning. Lead the financial planning and analysis of key customer account(s), providing budgeting, forecasting and long-term financial planning. Become the Subject Matter Expert for the commercial contract with the customer and ensure compliance Develop a strong commercial relationship with the customer and be the conduit between them and the Metro leadership and finance teams Monitor key commercial KPI's that include revenue growth, profitability and margins. The ability to be in the detail is essential. Ensure financial controls and governance are embedded with commercial decision-making. Improve financial processes, tools and systems to ensure data accuracy and efficiency. Work with the broader finance team to maintain compliance and consistency within financial operations. This is a full-time role, working 40 hours per week, between Monday and Friday. The role will be on a hybrid basis, with the expectation of being on site for 3 days a week, but you may be required to do more if the role requires it. What you'll need to succeed You will: Be a fully qualified accountant Have experience in outward-facing commercial finance or business partnering Possess strong stakeholder management experience Have excellent financial planning and analysis skills Have excellent analytical and problem-solving ability Possess prior experience in creating and developing financial processes and KPI's Have advanced Excel and financial modelling proficiency What you'll get in return You will receive a competitive base salary, flexible hybrid working options, free on-site parking, private medical insurance, health cash plan, and life assurance cover. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays EA is a trading division of Hays Specialist Recruitment Limited and acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at (url removed)
Jul 30, 2026
Full time
Your new company Hays are partnering exclusively with a highly successful and growing business, who deliver a range of exceptional services to their customers. You will be working within the UK division of an international group and will play a vital part in a key project they are delivering. Your new role This is a newly created role that will work in close partnership with the leadership team. This role is responsible for leading the strategic financial management - providing actionable insights and commercial analysis that drive profitable growth and data-informed decision-making aligned with business objectives. Additionally, the role supports key customer accounts, ensuring a strong financial focus across the business to deliver services in full alignment with contractual agreements. Specifically, your responsibilities will be to: Partner with commercial, sales and operation teams to evaluate business performance, pricing strategy and profitability. Deliver timely and accurate management reports to the board that include clear insights and recommendations that drive performance and profit. Support the local leadership team(s) with robust business cases, forecasts and scenario planning. Lead the financial planning and analysis of key customer account(s), providing budgeting, forecasting and long-term financial planning. Become the Subject Matter Expert for the commercial contract with the customer and ensure compliance Develop a strong commercial relationship with the customer and be the conduit between them and the Metro leadership and finance teams Monitor key commercial KPI's that include revenue growth, profitability and margins. The ability to be in the detail is essential. Ensure financial controls and governance are embedded with commercial decision-making. Improve financial processes, tools and systems to ensure data accuracy and efficiency. Work with the broader finance team to maintain compliance and consistency within financial operations. This is a full-time role, working 40 hours per week, between Monday and Friday. The role will be on a hybrid basis, with the expectation of being on site for 3 days a week, but you may be required to do more if the role requires it. What you'll need to succeed You will: Be a fully qualified accountant Have experience in outward-facing commercial finance or business partnering Possess strong stakeholder management experience Have excellent financial planning and analysis skills Have excellent analytical and problem-solving ability Possess prior experience in creating and developing financial processes and KPI's Have advanced Excel and financial modelling proficiency What you'll get in return You will receive a competitive base salary, flexible hybrid working options, free on-site parking, private medical insurance, health cash plan, and life assurance cover. What you need to do now If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays EA is a trading division of Hays Specialist Recruitment Limited and acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at (url removed)
Hays Accounts and Finance
Senior Management Accountant
Hays Accounts and Finance City, London
Your new companyA global consultancy specialising in technology and strategy, focusing on unlocking new markets and accelerate innovation across sectors including AI, data, telecommunications, financial services and digital transformation is hiring a senior finance hire to join as a Senior Management Accountant based in central London. Your new roleAs a Senior Management Accountant, you will be responsible for Overseeing the revenue recognition process Ownership of monthly management accounts Lead budgeting & forecasting Commentary and analysis regarding business performance - using PowerBI Use Netsuite to support the business and assist key leaders with the application of the software What you'll need to succeed Qualified Accountant with solid Management Accounting experience Strong Netsuite experience Experience in revenue recognition Strong understanding of accounting principles What you'll get in returnThis is an exciting opportunity for someone looking to join a reputable, forward-thinking business with a strong collaborative culture. Offering hybrid working (three days in the office), the company provides an environment where individuals are encouraged to contribute, develop and make a real impact. Reporting to a supportive and ambitious Group Financial Controller and working alongside a high-calibre finance team, you'll be given the opportunity to influence, add value and accelerate your development from day one. What you need to do nowIf you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at (url removed)
Jul 30, 2026
Full time
Your new companyA global consultancy specialising in technology and strategy, focusing on unlocking new markets and accelerate innovation across sectors including AI, data, telecommunications, financial services and digital transformation is hiring a senior finance hire to join as a Senior Management Accountant based in central London. Your new roleAs a Senior Management Accountant, you will be responsible for Overseeing the revenue recognition process Ownership of monthly management accounts Lead budgeting & forecasting Commentary and analysis regarding business performance - using PowerBI Use Netsuite to support the business and assist key leaders with the application of the software What you'll need to succeed Qualified Accountant with solid Management Accounting experience Strong Netsuite experience Experience in revenue recognition Strong understanding of accounting principles What you'll get in returnThis is an exciting opportunity for someone looking to join a reputable, forward-thinking business with a strong collaborative culture. Offering hybrid working (three days in the office), the company provides an environment where individuals are encouraged to contribute, develop and make a real impact. Reporting to a supportive and ambitious Group Financial Controller and working alongside a high-calibre finance team, you'll be given the opportunity to influence, add value and accelerate your development from day one. What you need to do nowIf you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now. If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career. Hays Specialist Recruitment Limited acts as an employment agency for permanent recruitment and employment business for the supply of temporary workers. By applying for this job you accept the T&C's, Privacy Policy and Disclaimers which can be found at (url removed)
Executive Resourcing Global Ltd
Finance Director - UK
Executive Resourcing Global Ltd City, Manchester
North West England. Significant six figure salary, car or car allowance and executive benefits. The Company A fantastic opportunity has arisen for an accomplished and highly motivated finance leader to make a significant contribution to the growth and development of this ambitious and progressive automotive group. Our client is one of the fastest growing and most innovative brands in this arena, with a first class reputation for the supply and service of market leading high technology products, great people and a real passion for customer satisfaction and service excellence. With the Group on a steep growth curve to £1bn by 2030, and with major expansion opportunities in the UK, a commercially focused Finance Director is required to lead the UK finance function, whilst also playing a major part in the wider commercial and financial growth of the Group. Role Summary Reporting to the Group CFO, and a key member of the SLT, responsibility will be for the leadership and development of a highly professional and organised finance function across the Group s UK entities, with a combined projected revenue of c.£500m. You will build a strong team, delivering timely and accurate information to the UK business and Group, along with subject matter expertise and strong financial control. In addition, you will collaborate with stakeholders across the UK and Group leadership teams, providing strategic and tactical financial insights and guidance, leveraging your financial expertise to empower decision-making and enhance performance, contributing to the overall financial success of the UK organisation and the wider Group. Monthly and annual reporting, budgets and forecasts, statutory compliance and ownership of the UK audit will also feature high on your agenda. About You We are looking for a first class, high integrity finance leader, a qualified accountant (ACA, CIMA, ACCA, CPA or equivalent) skilled in operating at Board level and with significant experience leading and developing a growing finance function in an automotive, motor trade, commercial vehicle or associated setting. Your core expertise will be in the strategic, tactical and operational leadership of a modern finance department, where robust financial systems and controls deliver enhanced commercial value and growth. Engaging and collaborative in style, success in this role will depend on your ability to build effective relationships across the business. You ll be a team player, proactive and in the detail, with the credibility and presence to influence outcomes, and the drive, ambition and enthusiasm to play a key part in the future development of this fast-growing, progressive Group. Why Join Our Client This is a key appointment with a unique opportunity to play a lead role in one of the UK and Ireland s most dynamic, forward thinking automotive Groups. The business is highly ambitious with a strong growth trajectory, and as such, this role is pivotal in shaping and influencing future strategy and growth, in a culture where performance excellence and the customer journey is top of the agenda. Your impact will be recognised with excellent opportunities for further career development, and you will be well rewarded with a significant six figure salary and supporting executive benefits.
Jul 30, 2026
Full time
North West England. Significant six figure salary, car or car allowance and executive benefits. The Company A fantastic opportunity has arisen for an accomplished and highly motivated finance leader to make a significant contribution to the growth and development of this ambitious and progressive automotive group. Our client is one of the fastest growing and most innovative brands in this arena, with a first class reputation for the supply and service of market leading high technology products, great people and a real passion for customer satisfaction and service excellence. With the Group on a steep growth curve to £1bn by 2030, and with major expansion opportunities in the UK, a commercially focused Finance Director is required to lead the UK finance function, whilst also playing a major part in the wider commercial and financial growth of the Group. Role Summary Reporting to the Group CFO, and a key member of the SLT, responsibility will be for the leadership and development of a highly professional and organised finance function across the Group s UK entities, with a combined projected revenue of c.£500m. You will build a strong team, delivering timely and accurate information to the UK business and Group, along with subject matter expertise and strong financial control. In addition, you will collaborate with stakeholders across the UK and Group leadership teams, providing strategic and tactical financial insights and guidance, leveraging your financial expertise to empower decision-making and enhance performance, contributing to the overall financial success of the UK organisation and the wider Group. Monthly and annual reporting, budgets and forecasts, statutory compliance and ownership of the UK audit will also feature high on your agenda. About You We are looking for a first class, high integrity finance leader, a qualified accountant (ACA, CIMA, ACCA, CPA or equivalent) skilled in operating at Board level and with significant experience leading and developing a growing finance function in an automotive, motor trade, commercial vehicle or associated setting. Your core expertise will be in the strategic, tactical and operational leadership of a modern finance department, where robust financial systems and controls deliver enhanced commercial value and growth. Engaging and collaborative in style, success in this role will depend on your ability to build effective relationships across the business. You ll be a team player, proactive and in the detail, with the credibility and presence to influence outcomes, and the drive, ambition and enthusiasm to play a key part in the future development of this fast-growing, progressive Group. Why Join Our Client This is a key appointment with a unique opportunity to play a lead role in one of the UK and Ireland s most dynamic, forward thinking automotive Groups. The business is highly ambitious with a strong growth trajectory, and as such, this role is pivotal in shaping and influencing future strategy and growth, in a culture where performance excellence and the customer journey is top of the agenda. Your impact will be recognised with excellent opportunities for further career development, and you will be well rewarded with a significant six figure salary and supporting executive benefits.
Senior Management Accountant
VisionRT
Vision RT is a fast-growing MedTech company transforming radiation therapy for cancer patients by helping make it more accurate, effective, and comfortable. The company is the inventor of, and a market leader in, Surface Guided Radiation Therapy (SGRT). This technology uses advanced 3D cameras to track surface data, providing enhanced guidance across every step of the radiotherapy workflow. Vision RT s SGRT solutions are in 24 out of the 25 Best Hospitals for Cancer, as tracked by US News & World Report. The company is recognized as one of Britain s fastest-growing private tech companies, as featured in the 2025 Sunday Times 100 Tech list. Vision RT is also a recipient of the 2026 King s Award for Enterprise, our fifth in 10 years. It is the UK s most prestigious accolade for business excellence. With around 300 employees globally and offices in the UK, Poland, and the USA, Vision RT operates independently as part of the Danish company William Demant Invest A/S, one of the world s largest investors in healthcare companies. Employees benefit from the security and reach of being part of a large global enterprise, combined with the agility and innovation of a startup. Vision RT is a company with strong values, a clear mission, and a bright future. It is an exciting and rewarding organization in which to work. About the role We are seeking a highly motivated and detail-oriented Senior Management Accountant to join our finance team. This role plays a critical part in delivering accurate financial insights, supporting strategic decision-making, and driving business performance. As a Senior Management Accountant, you will be responsible for preparing monthly management accounts, performing financial analysis, and partnering with key stakeholders across the business. You will ensure the integrity of financial reporting while identifying opportunities to improve processes, efficiency, and profitability. Working closely with senior leadership, you will provide meaningful commentary on financial performance, budgets, and forecasts, helping to guide business strategy. This role also involves mentoring junior team members and contributing to the continuous development of the finance function. This is an excellent opportunity for a qualified accountant looking to take on a high-impact role within a dynamic and fast-paced environment. Key responsibilities will include • Preparing the monthly Management Accounts for subsidiaries. We currently have subsidiaries based in the UK, USA, Germany, China, Australia, Poland, India, Spain, Korea, Canada and Japan. • Carrying out month-end tasks such as revenue recognition, cost of sales workings, accruals, prepayments, and maintenance of the fixed asset register. • Balance Sheet reconciliations • Bank reconciliations • Debtor, creditor, and bank revaluations. • Intercompany reconciliations • Analyse the financial results to produce commentary for senior management for both internal and external reporting • Carrying out project work such as improving files, systems, and processes. • Responsible for VAT/GST Returns including any other Monthly/Quarterly local tax returns and ensure deadlines are always met • Work with the local accountants/advisors to ensure the subsidiaries account balances are aligned with ours • Responsible for any other applicable returns in the Subsidiaries as and when required • Assist with the preparation and filing of the Statutory Accounts in the Subsidiary countries in line with IFRS/local GAAP requirements • Assist with Year-End duties and annual audit • Other ad hoc duties as and when required by the Financial Controller and Finance Director. Essential Skills & Experience • 5+ years of experience in an accounting environment, with knowledge of IFRS and UK GAAP • Qualified Accountant • International Experience • Good Academics • Month End Experience including Prepayments, Accruals, Revenue Recognition • Strong analytical skills, with high attention to detail • Good Excel skills including Vlookups, Pivot tables and Sumifs • Able to work to strict deadlines • Able to work independently and take the initiative in solving problems • Solid understanding of basic accounting payable principles, including a good knowledge of VAT • Proven ability to calculate, post and manage accounting figures and financial records • Ability to communicate and work at all levels with a large number of stakeholders i.e. junior staff to senior management. Desirable Skills & Experience • Experience in leading teams and managing junior staff • Experience using Sage 200, Credit Hound and TM1 Apliqo • Experience using Paperless • Experience using WebExpenses • Audit experience from a Big 4 or mid-tier firm
Jul 30, 2026
Full time
Vision RT is a fast-growing MedTech company transforming radiation therapy for cancer patients by helping make it more accurate, effective, and comfortable. The company is the inventor of, and a market leader in, Surface Guided Radiation Therapy (SGRT). This technology uses advanced 3D cameras to track surface data, providing enhanced guidance across every step of the radiotherapy workflow. Vision RT s SGRT solutions are in 24 out of the 25 Best Hospitals for Cancer, as tracked by US News & World Report. The company is recognized as one of Britain s fastest-growing private tech companies, as featured in the 2025 Sunday Times 100 Tech list. Vision RT is also a recipient of the 2026 King s Award for Enterprise, our fifth in 10 years. It is the UK s most prestigious accolade for business excellence. With around 300 employees globally and offices in the UK, Poland, and the USA, Vision RT operates independently as part of the Danish company William Demant Invest A/S, one of the world s largest investors in healthcare companies. Employees benefit from the security and reach of being part of a large global enterprise, combined with the agility and innovation of a startup. Vision RT is a company with strong values, a clear mission, and a bright future. It is an exciting and rewarding organization in which to work. About the role We are seeking a highly motivated and detail-oriented Senior Management Accountant to join our finance team. This role plays a critical part in delivering accurate financial insights, supporting strategic decision-making, and driving business performance. As a Senior Management Accountant, you will be responsible for preparing monthly management accounts, performing financial analysis, and partnering with key stakeholders across the business. You will ensure the integrity of financial reporting while identifying opportunities to improve processes, efficiency, and profitability. Working closely with senior leadership, you will provide meaningful commentary on financial performance, budgets, and forecasts, helping to guide business strategy. This role also involves mentoring junior team members and contributing to the continuous development of the finance function. This is an excellent opportunity for a qualified accountant looking to take on a high-impact role within a dynamic and fast-paced environment. Key responsibilities will include • Preparing the monthly Management Accounts for subsidiaries. We currently have subsidiaries based in the UK, USA, Germany, China, Australia, Poland, India, Spain, Korea, Canada and Japan. • Carrying out month-end tasks such as revenue recognition, cost of sales workings, accruals, prepayments, and maintenance of the fixed asset register. • Balance Sheet reconciliations • Bank reconciliations • Debtor, creditor, and bank revaluations. • Intercompany reconciliations • Analyse the financial results to produce commentary for senior management for both internal and external reporting • Carrying out project work such as improving files, systems, and processes. • Responsible for VAT/GST Returns including any other Monthly/Quarterly local tax returns and ensure deadlines are always met • Work with the local accountants/advisors to ensure the subsidiaries account balances are aligned with ours • Responsible for any other applicable returns in the Subsidiaries as and when required • Assist with the preparation and filing of the Statutory Accounts in the Subsidiary countries in line with IFRS/local GAAP requirements • Assist with Year-End duties and annual audit • Other ad hoc duties as and when required by the Financial Controller and Finance Director. Essential Skills & Experience • 5+ years of experience in an accounting environment, with knowledge of IFRS and UK GAAP • Qualified Accountant • International Experience • Good Academics • Month End Experience including Prepayments, Accruals, Revenue Recognition • Strong analytical skills, with high attention to detail • Good Excel skills including Vlookups, Pivot tables and Sumifs • Able to work to strict deadlines • Able to work independently and take the initiative in solving problems • Solid understanding of basic accounting payable principles, including a good knowledge of VAT • Proven ability to calculate, post and manage accounting figures and financial records • Ability to communicate and work at all levels with a large number of stakeholders i.e. junior staff to senior management. Desirable Skills & Experience • Experience in leading teams and managing junior staff • Experience using Sage 200, Credit Hound and TM1 Apliqo • Experience using Paperless • Experience using WebExpenses • Audit experience from a Big 4 or mid-tier firm
4Recruitment Services
Service Accountant
4Recruitment Services Harrow, Middlesex
Service Accountant Harrow £475 500 per day Full time Key Responsibilities To provide professional financial advice and support to a service Division or Directorate based on a sound understanding of the business and the regulatory/accounting regime. To co-ordinate both the revenue and capital budget preparation, budget monitoring and closure of accounts work for the relevant service area. To forge an excellent working relationship with the service directorate, whilst maintaining professional integrity and not compromising on financial best practice. To lead and/or participate in improvement projects or matrix management projects as directed, as part of the Division s transformation and improvement agenda. Generic Duties To demonstrate a commitment to the Council s Equal Opportunities Policy and the ability to understand and implement the policy in relation to the job responsibilities To ensure compliance with your responsibilities as laid out in the council s health and safety policy and take an active role in promoting a positive health and safety culture. To promote and participate in the council s individual performance appraisal and development initiatives and information management best practice. To ensure compliance with the council s information security policies and maintain confidentiality. In accordance with the Immigration Act 2016, where the role is customer-facing and the post holder is required to speak to members of the public, the ability to converse at ease with customers and provide advice in accurate spoken English is essential for the post To find out more information please contact (url removed) Recruitment is done in line with safe recruitment practices. We are an equal opportunity agency
Jul 30, 2026
Contractor
Service Accountant Harrow £475 500 per day Full time Key Responsibilities To provide professional financial advice and support to a service Division or Directorate based on a sound understanding of the business and the regulatory/accounting regime. To co-ordinate both the revenue and capital budget preparation, budget monitoring and closure of accounts work for the relevant service area. To forge an excellent working relationship with the service directorate, whilst maintaining professional integrity and not compromising on financial best practice. To lead and/or participate in improvement projects or matrix management projects as directed, as part of the Division s transformation and improvement agenda. Generic Duties To demonstrate a commitment to the Council s Equal Opportunities Policy and the ability to understand and implement the policy in relation to the job responsibilities To ensure compliance with your responsibilities as laid out in the council s health and safety policy and take an active role in promoting a positive health and safety culture. To promote and participate in the council s individual performance appraisal and development initiatives and information management best practice. To ensure compliance with the council s information security policies and maintain confidentiality. In accordance with the Immigration Act 2016, where the role is customer-facing and the post holder is required to speak to members of the public, the ability to converse at ease with customers and provide advice in accurate spoken English is essential for the post To find out more information please contact (url removed) Recruitment is done in line with safe recruitment practices. We are an equal opportunity agency

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