Financial Controller - Group Reporting and Treasury
Financial Controller - Group Reporting and Treasury (Manchester, Hybrid)We''re working exclusively with a growing group business based in Manchester to appoint a Financial Controller - Group Reporting and Treasury. This is a newly-shaped senior role sitting close to the CFO, covering group management accounts, treasury and cash management across a multi-entity, international structure.You''ll take ownership of the monthly group management accounts process, including balance sheet control account reconciliations, overhead coding, intercompany reconciliations and variance analysis against budget and prior periods. You''ll also present results directly to divisional MDs, so this suits someone who''s comfortable explaining numbers to non-finance stakeholders as well as producing them.Alongside the accounts side, there''s a genuine treasury dimension: weekly and rolling 13-week cashflow forecasting, day-to-day cash movement decisions, payment approvals, and working capital reporting. You''ll manage a treasury accountant and pick up their duties in their absence, so some comfort with (or appetite to learn) cash management is important.There''s also a foreign currency element, given the group''s overseas subsidiaries, plus involvement in year-end statutory reporting and group consolidation alongside the Financial Controller.What we''re looking for:Qualified accountant (ACCA or CIMA)Solid experience at Finance Manager level or above, ideally within a group structure with multiple ..... full job details .....
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