Group & UK Finance Manager
My client is looking for an experienced finance professional to take ownership of Group and UK financial reporting. This role will drive month-end consolidation, lead statutory compliance, and ensure strong financial controls across the organisation.
You'll manage cashflow and forecasting cycles, oversee budgeting processes, and provide clear financial insight to senior leadership. The position also supports international growth projects and requires confident use of reporting tools and financial systems.
Key ResponsibilitiesFinancial Reporting- Lead monthly Group and UK management accounts.
- Deliver clear financial analysis, dashboards, and reports for senior stakeholders.
- Maintain oversight of key balance sheet areas and capital expenditure.
- Coordinate the annual audit and statutory financial requirements.
- Liaise with external advisors on accounts, tax, and regulatory matters.
- Ensure accurate submission of all financial returns.
- Produce weekly and monthly cashflow forecasts.
- Support annual budgets and periodic reforecasting.
- Oversee supplier payments and cash management processes.
- Enhance reporting through financial systems and data tools.
- Provide guidance to junior finance staff.
- Respond to ad hoc financial queries from leaders across the business.
- Qualified accountant (CA/ACCA or equivalent).
- Strong background in financial reporting and consolidation.
- Skilled in financial systems and advanced Excel; experience with modern ERP tools preferred.
- Confident communicator with strong analytical capability.
- Hands-on, detail-driven, and reliable.
- Collaborative approach with the ability to influence stakeholders.
- Proactive mindset with enthusiasm for continuous improvement.
Salary range
- £60,000
