Manchester, Lancashire, United Kingdom Hybrid / WFH Options
Manchester Digital
Job Title: Trainer - FinancialModelling Software Location: Hybrid (2 days/week in Manchester office, remainder remote) Travel: Occasional UK-wide travel for in-person training sessions About Powdr Powdr is a growing SAAS company transforming the way businesses and advisors build and use financial models. Our platform helps people create insightful, flexible models that support better … decision-making. We're on a mission to make financialmodelling more accessible-and we're looking for someone who can help spread our passion through a brilliant support &training wrap for our customers and partners. The Role We're looking for an empathetic, adaptable Trainer who's passionate about helping others succeed. In this role, you'll … working independently but values being part of a supportive team. Comfortable adapting training styles and materials to meet different learning needs. Nice to Have (but Not Essential) Familiarity with financialmodelling or experience working with finance or accounting professionals. Experience creating online learning materials or instructional design tools. Confidence in creating short-form content for marketing or onboarding More ❯
We’re working with a fast-growing tech business to recruit a qualified Head of Finance. As part of the senior leadership team, this pivotal role involves overseeing all financial operations, strategic financial planning, risk management, and regulatory compliance. The ideal candidate will be an experienced finance professional with a commercial mindset and a strong operational understanding, ready … candidates will need to live in a reasonable commuting area of the office. Reporting to the Finance Director and working closely with the SLT, day-to-day duties include: Financial Strategy & Leadership: Lead the financial planning and analysis (FP&A) process, including budgeting, forecasting, and long-term financial modelling. Provide strategic financial input to the Board … and senior management, supporting key decisions and investments. Develop and implement robust financial controls, systems, and policies. Operational Finance: Oversee day-to-day financial operations, including accounts payable/receivable, payroll, cash flow management, and treasury functions. Ensure accurate and timely monthly, quarterly, and annual reporting. Monitor key financial KPIs and performance metrics, identifying areas for improvement. More ❯
We’re working with a fast-growing tech business to recruit a qualified Head of Finance. As part of the senior leadership team, this pivotal role involves overseeing all financial operations, strategic financial planning, risk management, and regulatory compliance. The ideal candidate will be an experienced finance professional with a commercial mindset and a strong operational understanding, ready … candidates will need to live in a reasonable commuting area of the office. Reporting to the Finance Director and working closely with the SLT, day-to-day duties include: Financial Strategy & Leadership: Lead the financial planning and analysis (FP&A) process, including budgeting, forecasting, and long-term financial modelling. Provide strategic financial input to the Board … and senior management, supporting key decisions and investments. Develop and implement robust financial controls, systems, and policies. Operational Finance: Oversee day-to-day financial operations, including accounts payable/receivable, payroll, cash flow management, and treasury functions. Ensure accurate and timely monthly, quarterly, and annual reporting. Monitor key financial KPIs and performance metrics, identifying areas for improvement. More ❯
in the overall corporate direction, strategies and success of the business. Additionally, we are looking for someone who can establish controls and processes that minimise risk and preserve our financial and legal compliance. You must be able to communicate the company's financial health and growth to potential investors. Key Responsibilities: Own all aspects of financial planning … forecasting, and modelling , including revenue projections, cash flow management, and full balance sheet modelling ensuring data integrity, scenario flexibility, and alignment with fundraising and growth goals Partner closely with the CEO and executive team to shape commercial strategy, monetisation models (e.g. CPM, CPI, CPC), and market expansion plans, providing strategic insight on margin optimisation and capital allocation Build … revenue flow Create and enforce budgets at the divisional level , working cross-functionally to ensure spend accountability, performance tracking, and alignment with overall company profitability targets Ensure robust international financial operations , particularly across the US, UK, and MENA regions, managing multi-entity compliance, cross-border payments, tax considerations, and FX exposure Lead the finance team to ensure timely advertiser More ❯
United Kingdom time type Full time posted on Posted 2 Days Ago job requisition id R About Us LSEG (London Stock Exchange Group) is more than a diversified global financial markets infrastructure and data business. We are dedicated, open-access partners with a dedication to excellence in delivering the services our customers expect from us. With extensive experience, deep … knowledge and worldwide presence across financial markets, we enable businesses and economies around the world to fund innovation, manage risk and create jobs. It's how we've contributed to supporting the financial stability and growth of communities and economies globally for more than 300 years. Through a comprehensive suite of trusted financial market infrastructure services - and … are seeking a highly skilled and commercially minded Data Scientist to join our FP&A team within Finance, supporting the Markets Division. This role will blend advanced analytics with financialmodelling to drive insights, forecasting and strategic decision-making across the Markets division and its underlying businesses. You'll work as part of a dynamic FP&A team More ❯
Vice President - Financial Institutions Group, London/Dublin (German & Italian Speaking) page is loaded Vice President - Financial Institutions Group, London/Dublin (German & Italian Speaking) Apply locations UK - London time type Full time posted on Posted Yesterday job requisition id JR390 Alantra is an independent global financial services firm that provides investment banking and asset management services … to mid-market companies, families, and investors. The Group has over 500 professionals in Europe, the U.S., Latin America, Asia, and the Middle East. In Financial Advisory, Alantra has completed over 1,000 transactions in the last five years. Alantra combines a strong local presence in key financial centers with global sector- and product-specialized teams. In Alternative … President to join our growing London or Dublin office. This is a unique opportunity to take a central role in the execution of high-impact transactions across the European financial services sector, while working in a fast-paced, entrepreneurial environment. As a VP, you'll manage multiple live deals, and help shape strategy and execution across a broad range More ❯
Reading, England, United Kingdom Hybrid / WFH Options
We Do Group
Location: Central Reading | Hybrid (3 days/week in the office) | B2B | Telco | High-Growth What we’re looking for: Experienced senior FP&A leader, with a background in modelling, data analysis, and insights. Proven track record in a complex sector (ideally telco, IT services, B2B, or similar). A dynamic, hands-on finance leader who thrives in fast … support you need to make an impact in a rapidly evolving environment. What you’ll do: Lead the FP&A function, including annual budgets, quarterly forecasts, and long-term financial planning. Work closely with senior leaders to provide financial insights that guide key business decisions on growth, investments, and pricing strategies. Oversee variance analysis and make recommendations to … Develop and maintain performance dashboards and key metrics for senior management. Lead a talented FP&A team, fostering a culture of continuous improvement and high performance. Take ownership of financialmodelling, providing data-driven insights to support strategic initiatives. Partner with the wider business to ensure financial processes are efficient and aligned with the overall company strategy. More ❯
will be to work with the Managing Directors in originating and executing transactions. You will be involved in the research and analysis of TMT sector/companies, company valuations, financialmodelling, preparation of marketing materials and transaction documentation. Mergers and Acquisitions will be a central focus for this team, as a VP you will be central to this … process. To be successful as an Investment Banking Vice President, you'll need: Strong M&A technical skills Strong expertise in financialmodelling, valuation techniques, presentation preparation and financial analysis Experience in deal origination: helping generate ideas, writing presentations and handling client follow up A solid track record of executing transactions Some other highly valued skills include … well as job-specific technical skills The role is based out of our Canary Wharf, London office This role is deemed as a Certified role under the PRA & UK Financial Conduct Authority - Individual Accountabilities Regulations and may require the role holder to hold mandatory regulatory qualifications or the minimum qualifications to meet internal company benchmarks Purpose of the role More ❯
Harper May is partnering with a forward-thinking technology group that is seeking a Chief Financial Officer to join its leadership team. With a track record of innovation and a growing portfolio of advanced digital solutions, the business is entering a new phase of growth and requires a strategic finance leader to support its ambitions. About the Role: As … CFO, you will work closely with the CEO and Board to shape financial strategy, drive operational performance, and ensure robust financial governance. The role combines hands-on leadership with high-level oversight across all areas of finance, from investor engagement to forecasting, controls, and risk management. Key Responsibilities: Lead the development of financial strategy and long-range … planning to support the company’s commercial goals Oversee financial reporting, budgeting, and cash flow management across the group Act as a key liaison for investors and external stakeholders, supporting funding rounds and strategic growth initiatives Develop scalable processes and lead the finance team through systems improvement and operational change Work alongside the CEO to evaluate new business opportunities More ❯
South Yorkshire, England, United Kingdom Hybrid / WFH Options
Anderson Frank
NetSuite Financial Controller - Yorkshire - £65k Anderson Frank have been appointed by an international Cybersecurity organisation, based in the Yorkshire area, to assist their search for a skilled NetSuite Financial Controller to join their growing finance team. This is a brilliant role for a driven candidate to lead on all aspects of finance for a global project, responsible for … have the RTW in the UK. Roles and Responsibilities: Lead day-to-day finance operations , including month-end close, payroll, AP/AR, cash flow, and NetSuite optimisation Own financial reporting and forecasting , delivering clear insights across P&L, balance sheet, and cash runway Ensure tax and regulatory compliance , managing VAT, HMRC submissions, and working with external accountants Support … strategic planning and fundraising , including financialmodelling, investor reporting, and scenario analysis Skills and Qualifications: Strong finance background with experience in bookkeeping, financial reporting, and UK tax compliance Proficient in NetSuite (or similar ERP systems) and confident using Excel for financialmodelling and analysis Highly organised and conscientious , with excellent time management and accuracy under More ❯
is for you. You will be based out of our London office and report into Paul, Head of FP&A. Your Day to Day Prepare budgets, forecasts, and dynamic financial models to support strategic decision-making Analyse data to identify trends, risks and opportunities within the business Extract meaningful insights and predictive models from large, complex data sets Deliver … to drive efficiency in forecasting, budgeting, and monthly close processes. What You'll Bring 3-5 years of FP&A experience, with exposure to investment banking or transaction services (financialmodelling, due diligence, strategic advisory). Expertise in SaaS financial metrics (MRR, ARR, churn, LTV, CAC, etc .) and revenue recognition principles Advanced proficiency with Excel and … best practice financialmodelling, with a knack for scenario analysis, budgeting, and forecasting Practical experience with Salesforce , BI tools (Power BI), and ERP systems (NetSuite). Exceptional storytelling skills with a PowerPoint whizz - you can simplify complex financial concepts for non-finance audiences Attributes A proactive, ownership mentality , with a passion for improving processes and driving business More ❯
At Fenergo, we're not just building software-we're transforming how the world's leading financial institutions fight financial crime. Headquartered in Dublin and trusted by over 100 of the world's top financial institutions, we're on a mission to change the game. We're more than a global leader in AI-powered client lifecycle … management-we're reimagining how financial institutions tackle compliance. From Know Your Customer (KYC) and Anti-Money Laundering (AML) to rapidly evolving regulations, we turn complexity into clarity. Our FinCrime Operating System, powered by agentic AI and intelligent automation, helps financial institutions move faster, act smarter, and stay safer across 120+ countries. And out ambition goes further. At … Fenergo, we believe in a world where financial institutions aren't just compliant-they're confident. Where technology doesn't just meet regulations-it stays ahead of them. Our mission is to empower financial institutions to stop financial crime and create a safer world. Every product we build, every innovation we deliver, and every partnership we forge More ❯
Full time posted on Posted 2 Days Ago job requisition id -WD Do you want your voice heard and your actions to count? Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world's leading financial groups. Across the globe, we're 120,000 colleagues, striving to make a difference for every client, organization, and … for our values, building long-term relationships, serving society, and fostering shared and sustainable growth for a better world. With a vision to be the world's most trusted financial group, it's part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in … structuring, navigating the credit approval process, and managing the credit exposure within portfolios. KEY RESPONSIBILITIES Take responsibility for ensuring delivery of high-quality output from the team - credit applications, financialmodelling, analysis, and structuring Own deal execution process from start to finish - leads due diligence, conversations with credit approvers, structuring, underwriting, negotiation of legal documents, and leveraging the More ❯
Grantham, Lincolnshire, England, United Kingdom Hybrid / WFH Options
Cherry Professional - Relationship Led Recruitment
Director to help lead the business through a transformational phase of reorganisation and expansion.The business is evolving into two distinct operating units, each with its own growth strategy and financialmodelling requirements. Both will demand advanced debt curve and payment curve analysis, as well as strong financial planning to support scalable, sustainable growth.This is a hands-on … strategic leadership role offering real influence at board level. You’ll work closely with the CEO, leadership team, and investors to shape financial direction, improve commercial performance, and ensure rigorous control across the group.Key Responsibilities: Own and deliver the group’s financial strategy, aligned to evolving business goals Provide strategic insight and challenge as a true business partner … to the CEO and senior leadership Lead on financialmodelling, investment planning, and funding scenarios Drive high-quality reporting, forecasting, and board-level insight Manage investor and lender relationships, including funding rounds and covenant reporting Oversee financial control, compliance (including FCA-regulated activity), and risk management Support ongoing systems improvement and legal entity simplification What We’re More ❯
Data Analyst with Big Data ?" Canary Wharf Our Client is seeking a Data Analyst for the Data Products team is driving innovations in the Financial Services Sector using Big Data. The Client has a high-calibre, focused and a mission-driven team. The models we build and the analysis that we derive from financial data matters to crucial … cutting-edge business decisions made across the global financial services firms every day and provides insight into real world problems. In this role, you will gain a deep understanding of income and expense transactions, financial classifications, and long term financial management within the UK market. You will participate in customer and partner calls to review requirements and … client needs. You will quickly gain an understanding how local income and expense calculations, and financial management best practices can be leveraged to deliver financial wellness tools in the UK market. This role will allow you to partner analytics teams to review and enhance data categorization for key income and expense transactions, develop a specification for both rules More ❯
IIBA (International Institute of Business Analysis)
eye toward maximizing the risk-adjusted return on each investment for the clients. As an Analyst - Southern Europe Acquisitions you will be responsible for underwriting acquisitions, taking responsibility for financialmodelling and preparing business plans. Job Responsibilities Underwrite prospective acquisitions, taking responsibility for financialmodelling and preparing business plans. Coordinate external advisors during due diligence Support … Capabilities And Skills Spanish knowledge would be advantageous Exposure to value-add/opportunistic real estate strategies would be preferable About Us J.P. Morgan is a global leader in financial services, providing strategic advice and products to the world's most prominent corporations, governments, wealthy individuals and institutional investors. Our first-class business in a first-class way approach More ❯
Spalding, Lincolnshire, East Midlands, United Kingdom Hybrid / WFH Options
Bakkavor
the effective and efficient delivery of forecasting and reporting for both operating and capital expenditure for IT and specific areas of Group overheads. Responsibilities Performance Reporting & Business Partnering Summary Financial Monitoring & Reporting: Oversee Group overhead expenditure, provides early warnings on budget overruns, and delivers timely performance reports to support financial targets and KPIs. Variance Analysis & Modelling: Investigates … budget variances and supports cost-saving through forecasting and financialmodelling to inform business decisions. IT & Business Partnering: Leads account consolidation, develops overhead reporting, and collaborates across teams to ensure accurate financial representation. Financial Control & Decision-Making: Establishes and drives financial control processes across services, projects, and IT cost allocation. Rolling Forecast Leads budget production … forecast model in Cognos and maintains headcount reporting models. Operational Insights Contributes to feasibility studies and business cases, focusing on cost-benefit and ROI analysis. Control Environment Ensures robust financial processes for clean audits and compliance with IT and corporate policies. Business Reporting Implements and advises on cost charging strategies, maintains Cognos Group overhead reporting, and develops new reports More ❯
the effective and efficient delivery of forecasting and reporting for both operating and capital expenditure for IT and specific areas of Group overheads. Responsibilities Performance Reporting & Business Partnering Summary Financial Monitoring & Reporting: Oversee Group overhead expenditure, provides early warnings on budget overruns, and delivers timely performance reports to support financial targets and KPIs. Variance Analysis & Modelling: Investigates … budget variances and supports cost-saving through forecasting and financialmodelling to inform business decisions. IT & Business Partnering: Leads account consolidation, develops overhead reporting, and collaborates across teams to ensure accurate financial representation. Financial Control & Decision-Making: Establishes and drives financial control processes across services, projects, and IT cost allocation. Rolling Forecast Leads budget production … forecast model in Cognos and maintains headcount reporting models. Operational Insights Contributes to feasibility studies and business cases, focusing on cost-benefit and ROI analysis. Control Environment Ensures robust financial processes for clean audits and compliance with IT and corporate policies. Business Reporting Implements and advises on cost charging strategies, maintains Cognos Group overhead reporting, and develops new reports More ❯
the effective and efficient delivery of forecasting and reporting for both operating and capital expenditure for IT and specific areas of Group overheads. Responsibilities Performance Reporting & Business Partnering Summary Financial Monitoring & Reporting: Oversee Group overhead expenditure, provides early warnings on budget overruns, and delivers timely performance reports to support financial targets and KPIs. Variance Analysis & Modelling: Investigates … budget variances and supports cost-saving through forecasting and financialmodelling to inform business decisions. IT & Business Partnering: Leads account consolidation, develops overhead reporting, and collaborates across teams to ensure accurate financial representation. Financial Control & Decision-Making: Establishes and drives financial control processes across services, projects, and IT cost allocation. Rolling Forecast Leads budget production … forecast model in Cognos and maintains headcount reporting models. Operational Insights Contributes to feasibility studies and business cases, focusing on cost-benefit and ROI analysis. Control Environment Ensures robust financial processes for clean audits and compliance with IT and corporate policies. Business Reporting Implements and advises on cost charging strategies, maintains Cognos Group overhead reporting, and develops new reports More ❯
the effective and efficient delivery of forecasting and reporting for both operating and capital expenditure for IT and specific areas of Group overheads. Responsibilities Performance Reporting & Business Partnering Summary Financial Monitoring & Reporting: Oversee Group overhead expenditure, provides early warnings on budget overruns, and delivers timely performance reports to support financial targets and KPIs. Variance Analysis & Modelling: Investigates … budget variances and supports cost-saving through forecasting and financialmodelling to inform business decisions. IT & Business Partnering: Leads account consolidation, develops overhead reporting, and collaborates across teams to ensure accurate financial representation. Financial Control & Decision-Making: Establishes and drives financial control processes across services, projects, and IT cost allocation. Rolling Forecast Leads budget production … forecast model in Cognos and maintains headcount reporting models. Operational Insights Contributes to feasibility studies and business cases, focusing on cost-benefit and ROI analysis. Control Environment Ensures robust financial processes for clean audits and compliance with IT and corporate policies. Business Reporting Implements and advises on cost charging strategies, maintains Cognos Group overhead reporting, and develops new reports More ❯
Spalding, Low Fulney, Lincolnshire, United Kingdom
Bakkavor Group
the effective and efficient delivery of forecasting and reporting for both operating and capital expenditure for IT and specific areas of Group overheads. Responsibilities Performance Reporting & Business Partnering Summary Financial Monitoring & Reporting: Oversee Group overhead expenditure, provides early warnings on budget overruns, and delivers timely performance reports to support financial targets and KPIs. Variance Analysis & Modelling: Investigates … budget variances and supports cost-saving through forecasting and financialmodelling to inform business decisions. IT & Business Partnering: Leads account consolidation, develops overhead reporting, and collaborates across teams to ensure accurate financial representation. Financial Control & Decision-Making: Establishes and drives financial control processes across services, projects, and IT cost allocation. Rolling Forecast Leads budget production … forecast model in Cognos and maintains headcount reporting models. Operational Insights Contributes to feasibility studies and business cases, focusing on cost-benefit and ROI analysis. Control Environment Ensures robust financial processes for clean audits and compliance with IT and corporate policies. Business Reporting Implements and advises on cost charging strategies, maintains Cognos Group overhead reporting, and develops new reports More ❯
role during a critical growth phase-ideal for a commercially astute finance leader who thrives in building functions from the ground up. You'll be responsible for shaping the financial planning and analysis capability, driving strategic insight, and enabling operational excellence. The role combines hands-on development of systems, models, and processes with true leadership and business partnering. Key … Responsibilities: Design and embed budgeting, forecasting and long-range planning processes across the business Develop robust financial models to support strategic initiatives and scenario planning Deliver insightful management reporting and performance dashboards Lead monthly and quarterly business reviews, providing analysis and challenge to key stakeholders Mentor and develop a growing FP&A team; nurture a high-performance culture Partner … with department heads to improve financial visibility and forecasting accuracy Collaborate with Commercial and Revenue Operations teams to deliver timely, meaningful performance data Drive the implementation of new FP&A systems to automate and streamline reporting Ideal Experience: 10+ years in FP&A, with at least 5 years in senior or leadership roles within high-growth SaaS or FinTech More ❯
We are seeking a talented individual to join our International Financial Planning & Analysis team at Marsh McLennan. This role will be based in London. This is a hybrid role that has a requirement of working at least three days a week in the office. We are seeking an experienced and highly analytical Finance Manager to support the Darwin Business … develop products that truly impact people's lives and the market in which we operate. This role is pivotal to our success, overseeing all revenue reporting and supporting key financial initiatives across the business. The successful candidate will be contributing to all core FP&A processes: annual budgeting, operating reviews, strategic planning, forecasting and month end close analysis, as … client transfers between businesses Oversee preparation of Darwin revenue allocations to MMB local countries and support MMB stakeholders with any information request and knowledge on Darwin client activity Building financial models and analysis to support business requests, Finance representation in any projects related to commercial/operational systems or process changes to assess the impact to revenue reporting and More ❯
Sheffield, South Yorkshire, Yorkshire, United Kingdom Hybrid / WFH Options
Hirecracker
to support a high-profile infrastructure project on an initial 6-month contract. This is a fantastic opportunity to join a forward-thinking organisation and contribute directly to the financial management and strategic success of a major capital initiative. The Role As Project Finance Business Partner, you will take ownership of all financial elements related to the delivery … of a multi-million-pound infrastructure project. Working closely with operational teams and senior stakeholders, you'll provide financial insights, maintain the project's financial model, and ensure budgetary alignment across the board. Project Finance Business Partner Responsibilities Maintain and enhance a detailed financial model to support strategic decision-making and ROI tracking Monitor project budgets, forecasts … internal and external stakeholders Support project-related accounting activities during month-end and year-end close Ensure compliance with internal controls and support audit processes as required Provide constructive financial challenge and partnership to project teams and leadership Project Finance Business Partner Benefits: Competitive salary with benefits for the duration of the contract Play a key role in the More ❯
Financial Analyst – Commercial Real Estate | London | £60,000 - £80,000 Bonus An exciting opportunity to join a fast-growing FinTech business at the forefront of commercial real estate analytics. This is a high-impact, client-facing role where you'll work with leading financial institutions and directly influence investment decisions through advanced modelling and data analysis. The … some of the world’s most recognised banks, insurers, and asset managers. Their proprietary platform supports over $60 billion in CRE assets globally, offering loan origination, portfolio monitoring, and financial risk modelling. The Role: You’ll join a small, collaborative team to work on financial models, client deliverables, and platform enhancements. The role sits at the intersection of … finance and technology, offering a varied workload and exposure to both disciplines. Key Responsibilities: Build and manage financial and cash flow models in Excel Analyse large financial datasets, including NOI and other CRE metrics Support client requests and deliverables, often to tight deadlines Collaborate with software developers to shape analytical tools Option to contribute to open code enhancements More ❯