Ashford, Kent, United Kingdom Hybrid / WFH Options
Brakes
are seeking a detail-oriented and proactive System Accountant to join our FP&A team. The ideal candidate will have strong accounting expertise combined with hands-on experience supporting financial planning, budgeting, forecasting, and reporting systems. Experience with Workday Adaptive Insights or similar cloud-based FP&A platforms is highly desirable. We are offering a hybrid working contract with … the office in Ashford, Kent once per week, so you must be comfortable and flexible with travel and commuting for project and team meetings. Key Responsibilities: Manage and maintain financial planning and reporting systems, ensuring data accuracy and integrity. Collaborate with FP&A and accounting teams to support budgeting, forecasting, and financialanalysis processes. Act as the … primary administrator for Workday Adaptive Insights (or equivalent FP&A systems), including system configuration, user management, and troubleshooting. Prepare and reconcile financial data between ERP systems (e.g., Oracle, SAP, NetSuite) and FP&A platforms. Develop and automate financial and business insight through reports, dashboards, and data visualizations to support decision-making. Support month-end and year-end close More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Robert Walters
A fantastic opportunity to join a global tech leader as a Finance Business Partner in London has arisen. Do you want to drive financial strategy, support senior leaders, and deliver impactful analysis in an international setting? If so, this role is offering £55-60k and a flexible hybrid model, this role is ideal for someone ready to … a Finance Business Partner to join a global leader in technology-driven solutions, based in London. This role offers you the chance to play a pivotal part in shaping financial strategy within an international environment, supporting senior management and cost centre leaders with insightful analysis and robust financial planning. With a competitive salary of … your chance to thrive in a supportive, inclusive environment where your expertise will make a real difference. What you'll do: Prepare, analyse, interpret, and deliver timely and accurate financial information within strict month-end deadlines to support business decision-making. Work proactively with senior management and cost centre managers as a trusted finance business partner to ensure integrity More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Hydrogen Group
Senior Financial Analyst (FP&A) Location: London, UK (Hybrid/Remote) Contract: until April 2026 - candidates must be available Immediately Pay: £400 - £445 per day via Umbrella Our Fintech client is looking for a Senior Financial Analyst to join our European FP&A team. This role focuses on providing financial insights, analysis, and business partnering to … help drive growth across multiple European markets. Key Responsibilities Analyse financial results and key business metrics Support budgeting, forecasting, and financial modelling Partner with business leaders to provide insights and recommendations Help identify risks, opportunities, and process improvements Collaborate with global finance teams for alignment About You 5+ years' experience in FP&A, financialanalysis, or … controlling Background in Technology, eCommerce, Payments, or Financial Services Finance Qualification Strong skills in Excel and SQL Confident communicator who can work with different teams and senior leaders Comfortable working in a fast-paced, changing environment If you have the above experience please submit your CV immediately ... More ❯
continued global growth. This role will contribute to the success of a fast-paced leading AI disruptor, offering incredible opportunities for challenge and personal development. Key Responsibilities: In depth financialanalysis supporting decision making KPI reporting to management Variance analysis Utilise visualisation tools to provide data-driven insights Business partner cross departmentally Develop and maintain financial models Qualifications: Experience in FinancialAnalysis, Consulting, Corporate finance or a related field. Analytical and problem solving mindset Experience with FP&A software/PowerBI desirable Incredibly driven and ambitious This is an incredible opportunity to join one of the most ambitious tech companies about at the moment in a incredibly important period in their development. Apply More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Accountancy Action
to £55,000 per annum Our client, an international tech company, is looking to recruit a Management Accountant for their expanding team. The role reports into the Financial Controller but you will be able to take ownership of your role and work autonomously. You will be responsible for delivering high-quality financial planning, reporting, and analysis. The role … a week in the office. Key responsibilities of the role will include: • Prepare monthly management accounts and assist with month-end close • Lead budgeting and forecasting cycles alongside the Financial Controller • Analyse actuals vs. budget/forecast and prepare variance commentary • Support cost centre reporting and performance tracking • Responsible for financial reporting • Partner with the business to provide … minimum of 4 years’ experience in a Management Accountant role • Have experience of using SAP • Be part qualified ACCA or CIMA • Have a strong understanding of accounting principles and financialanalysis • Have excellent communication skills • Have a high proficiency in Excel and familiarity with BI/reporting tools • Have experience preparing budgets, forecasts, and management reporting Interviews will More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Robert Half
risk. Due to continued growth, they are looking to bring on a qualified Management Accountant to join their high-performing team. Role The Management Accountant will report to the Financial Controller, helping provide financial insight, reporting and strategic guidance. They will take on a number of key duties including: Manage the month-end process, preparing month-end journals … to improve internal processes. Support budgeting and forecasting processes in collaboration with departmental leads. Track and report on SaaS metrics. Support cash flow forecasting and working capital analysis. Conduct financialanalysis to inform operations and strategic decision-making. Profile The ideal profile for this Management Accountant position, should have the following attributes: Recently qualified Accountant (ACCA/ACA More ❯
Newbury, Berkshire, United Kingdom Hybrid / WFH Options
Wade Macdonald
Financial Controller Location: Newbury, Berkshire Salary: £60,000 - £70,000 plus 20% Bonus and Benefits. Hybrid/Flexible/Remote About the Client: Our client, a leading global organisation within the Software industry, is seeking a Financial Controller to join a rapidly growing business unit based in Newbury, Berkshire. They are committed to creating a diverse and inclusive … success. This is a great opportunity for candidates looking to progress to a Head of Finance/FD role within the next three years. About the Job: As a Financial Controller, you will take charge of the organisation's financial operations, ensuring accurate reporting, robust internal controls, and compliance with regulatory standards. This role involves overseeing month-end … close, managing audits, and supporting business functions with insightful financial analysis. Duties will include: Leading the month-end close process, covering accounts receivable, accounts payable, general ledger, and revenue recognition. Overseeing balance sheet reconciliations and ensuring adherence to group accounting policies. Managing cash flow forecasting, payroll reviews, and month-end reporting. Ensuring compliance with local tax, statutory, and legal More ❯
Haywards Heath, Sussex, United Kingdom Hybrid / WFH Options
First Central Services
were looking for to succeed in the role: Significant experience in Business Consultancy and/or Business Architecture Strong analytical and problem-solving skills Strong anticipatory, statistical and information analysis skills Strong workshop and meeting facilitation skills Experienced at building relationships with and managing internal and external stakeholders Excellent communication and interpersonal skills Able to communicate, influence and persuade … projects Ability to quickly understand the objectives, structures, operations and policies of a business area W hat's involved: You'll support business strategy development, including internal and external analysis, opportunity identification, technology and business cases, and business innovation development You'll collaborate with Enterprise Architects in the definition of target operating models You'll support the definition and … continuous improvement of Business Consultancy & Analysis services You'll ensure the delivery of high-quality business solutions that align with organisational goals. You'll engage business stakeholders to identify business and technology innovation opportunities that enable and drive business strategy and value You'll work closely with Enterprise Architects to construct deliverables that help business leaders identify and make More ❯
Join Our Client as a Treasury Analyst! Are you ready to dive into the dynamic world of financial technology? We are seeking a passionate and dedicated Treasury Analyst to join our client's team in London on an exciting 18-month temporary contract. If you thrive in a fast-paced environment and are eager to contribute to a global … in payment solutions, this opportunity is for you! About the Role: As a Treasury Analyst, you will be instrumental in supporting our client's Treasury Teams, helping manage cash, financial risks, and banking relationships. Your expertise will assist in global bank administration and various treasury functions, ensuring seamless operations. Key Responsibilities: Bank Administration Support: - Open and close bank accounts … to business-as-usual processes. What You Bring: A relevant undergraduate degree in Accounting, Business, Finance, Economics, or Mathematics. Experience in treasury, banking, or finance. A keen interest in financial markets and associated risks. Knowledge of cash management and foreign exchange activities. Proficiency in Microsoft Word and Excel, along with strong report writing and presentation skills. Exceptional organizational skills More ❯
developing revenue and cost models and driving strategic change and transformation across the finance function. Lead the annual budgeting process, consolidate forecasts, and partner with senior leadership to ensure financial targets are met. Strategy & Operations: Provide insight-driven recommendations for cost optimisation, revenue growth, and market expansion strategies. Financial Modelling: Build and maintain robust models for scenario analysis and strategic planning. FinancialAnalysis: Identify trends, risks, and variances in financial data to deliver actionable insights to the executive team. Change & Transformation: Drive automation initiatives and assess new FP&A reporting tools for business-wide implementation. Business Partnering: Work cross-functionally with cost centres and communicate financial performance and key risks to senior stakeholders. More ❯
the Job This is a high-impact Finance Business Partner role supporting multiple business units. You will join the senior management team, working closely with business leaders to drive financial performance, shape strategy, and influence decisions that maximise growth and profitability. This position requires strong business acumen and the ability to build trust with non-financial stakeholders. Duties … will include: Acting as the primary finance contact for business unit leaders, resolving financial queries and guiding strategic decisions Supporting the development and execution of finance strategy for designated business units Delivering insightful financialanalysis and performance reporting, including monthly variance analysis and quarterly forecasting Identifying opportunities to enhance revenue and margin through commercial evaluation and … strategic input Reviewing the sales pipeline to assess potential improvements and boost conversion rates Leading risk management efforts, including customer assessments and risk mitigation strategies Ensuring compliance with internal financial reporting standards, including quarterly disclosures for group reporting Responding to ad hoc requests from corporate finance as needed About the Successful Applicant You will be an experienced Finance Business More ❯
BI tool set and efficient BI spend. This in turn will help drive the success of the newly formed Business Intelligence & Data function. The key responsibilities will include:Internal FinancialAnalysis* Using internal Data for the development of weekly financial trading measure to complement volume performance.* Pre/Post Implementation reviews of pricing and promotions across all … channels - measuring both the P&L and cash flow impact in year and over customer lifetime.* Calculating the financial impact (Rev and Margin) of customer trade up or trade down on the customer base.* Development and enhancement of products and channel profitability for the UK - to include lifestage profitability and customer profile profitability.* Maintenance of the commercial financial … planning models for the rolling forecast, budget, and five-year plan to reflect actual performance, trends, and new pricing/propositions as they arise.* Building internal capability to calculate financial opportunities or risks.* Development of specific dashboards for financial information to drive insight and decision making * Business partnering with the data and analytics, revenue assurance and technology team More ❯
BI tool set and efficient BI spend. This in turn will help drive the success of the newly formed Business Intelligence & Data function. The key responsibilities will include:Internal FinancialAnalysis* Using internal Data for the development of weekly financial trading measure to complement volume performance.* Pre/Post Implementation reviews of pricing and promotions across all … channels - measuring both the P&L and cash flow impact in year and over customer lifetime.* Calculating the financial impact (Rev and Margin) of customer trade up or trade down on the customer base.* Development and enhancement of products and channel profitability for the UK - to include lifestage profitability and customer profile profitability.* Maintenance of the commercial financial … planning models for the rolling forecast, budget, and five-year plan to reflect actual performance, trends, and new pricing/propositions as they arise.* Building internal capability to calculate financial opportunities or risks.* Development of specific dashboards for financial information to drive insight and decision making* Business partnering with the data and analytics, revenue assurance and technology team More ❯
Reading, Berkshire, United Kingdom Hybrid / WFH Options
Cooper Parry
clients to make the buying or selling of businesses feel straightforward and to maximise the value achieved from the process. Bringing refreshingly clear advice that's backed by insightful financialanalysis to a complicated process. Our financial due diligence process checks each key financial aspect of a transaction important to our clients. Identifying the key value … verifying and assessing information, formulating views and conclusions Planning, preparing and reviewing outputs from our work, including written reports and presentations/meetings with the client, ensuring insightful data analysis and presentation Planning and monitoring the progress of live projects, including sharing of potential key issues, such as identification of risk for our client or items impacting price Establishing … so being able to keep calm and use your project management skills to get things done is essential Have an ACA, ACCA or equivalent qualification Have proven experience of financial due diligence experience (ideally both buy side & sell side due diligence, completion accounts, locked box and SPA experience) and strong commercial acumen Ideally having already worked with lower mid More ❯
well-established and respected technology-led business operating at the forefront of the UK s Defence and National Security sectors. With an exciting pipeline of acquisitions and a strong financial position, the business is investing in its M&A capability and looking to hire a Corporate Finance Manager to work closely with the Investment Director. You ll be joining … the Corporate Finance Manager role involve? Support the Investment Director across the full transaction lifecycle, from research and deal structuring to execution and post-deal integration Perform market and financialanalysis to evaluate acquisition opportunities Lead and coordinate due diligence processes with external advisors Prepare and deliver presentations and business cases to senior stakeholders and executive committees Maintain … a network of advisors and partners to support deal flow and origination Provide commercial and financial insight to support broader strategic initiatives Ensure efficient project management of multiple deals simultaneously in a fast-paced environment Suitable Candidate for the Corporate Finance Manager vacancy: Strong background in corporate finance, M&A, due diligence or transaction services, either within practice or More ❯
Southampton, Netley Marsh, Hampshire, United Kingdom Hybrid / WFH Options
CMA Recruitment Group
well-established and respected technology-led business operating at the forefront of the UK’s Defence and National Security sectors. With an exciting pipeline of acquisitions and a strong financial position, the business is investing in its M&A capability and looking to hire a Corporate Finance Manager to work closely with the Investment Director. You’ll be joining … the Corporate Finance Manager role involve? Support the Investment Director across the full transaction lifecycle, from research and deal structuring to execution and post-deal integration Perform market and financialanalysis to evaluate acquisition opportunities Lead and coordinate due diligence processes with external advisors Prepare and deliver presentations and business cases to senior stakeholders and executive committees Maintain … a network of advisors and partners to support deal flow and origination Provide commercial and financial insight to support broader strategic initiatives Ensure efficient project management of multiple deals simultaneously in a fast-paced environment Suitable Candidate for the Corporate Finance Manager vacancy: Strong background in corporate finance, M&A, due diligence or transaction services, either within practice or More ❯
deadlines, monitor and manage progress of assigned projects. Lead and direct the work of other project team members to ensure successful project delivery. Prepare cost and price build-up analysis using data in the company's MRP and cost models. Assist in the definition of project scope and objectives, involving relevant stakeholders and ensuring feasibility. Coordinate with other departments … strengths, skill, knowledge and experience. Track project performance to analyse the completion of short and long-term goals/objectives. Meet budgetary objectives and adjust project constraints based on financial analysis. Develop comprehensive project plans to be shared with clients/customers. Continually develop your own leadership and management skills. Experience and skills required for this position: Previous Project More ❯
with the support of management. Maintain oversight of contractual liabilities of all charter trips sold and support the team. To work with all levels of Management with little supervision, FinancialAnalysis: Conduct financialanalysis to support strategic sales activities to ensure repeat business and market competitiveness. Manage client credit decisions and support the sales team exceed More ❯
technical support is provided. Works closely with customers, other IT managers, and management to identify and maximize opportunities to use technology to improve business processes. Prepares business cases, including financial analyses of potential new technologies/systems/applications. Evaluates based on company strategic needs and resource availability. Oversees business analysis, development work and quality assurance of projects More ❯
compliance teams to address any licensing issues. Ensure compliance with company policies and procedures regarding procurement and finance. Assist in the documentation and filing of contracts, agreements, and other financial records. Support internal and external audits by providing necessary documentation and information. Usage Optimisation: Analyse software usage data to identify underutilised or unnecessary applications. Recommend alternatives or consolidations to … enforce software asset management policies and procedures. Educate staff on the importance of compliance and proper software usage. Reporting and Analytics: Generate reports on software usage, compliance status, and financial analysis. Present findings and recommendations to management for decision-making. Collaboration: Work closely with IT teams to ensure proper software deployment and maintenance. Collaborate with project teams to align More ❯
London, South East, England, United Kingdom Hybrid / WFH Options
Harmonic Group Ltd
Financial Controller | B2B SaaS Start-up | Fully Remote (UK) Harmonic are delighted to be working with a Software-as-a-Service (SaaS) businesses in their search for a Financial Controller. Operating in the B2B SaaS space, their cutting-edge platform supports a range of businesses including fast growing startups to global brands, helping them to streamline and enhance … and professionally as they aim to build the next SaaS success story. The Role: In this role, you'll collaborate closely with a part-time CFO to shape the financial backbone of the business. From tightening internal controls to delivering meaningful insights through data-driven reporting, you'll help ensure the company stays compliant, scales responsibly, and builds lasting … value. Responsibilities: Take full ownership of our financial records and ensure their accuracy Oversee a lean finance operations team across billing, payments, credit control, inventory, and cash flow Coordinate with external partners (accountants, auditors, tax advisors) to meet statutory requirements in the UK and US Contribute to strategic projects and financial planning activities Lead month-end close and More ❯