Financial Controller at Clarity Global Inc
London EC2A, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

11 May, 25

Salary

75000.0

Posted On

11 Feb, 25

Experience

0 year(s) or above

Remote Job

No

Telecommute

No

Sponsor Visa

No

Skills

Clarity, It, Happiness

Industry

Financial Services

Description

Clarity isn’t just another agency. We’re a global team of digital marketing and communications experts, chosen by visionary companies eager to make a real impact. We work with all kinds of organisations—from rebellious startups to industry titans—helping them enhance their reputation, drive growth, and create impact.
What makes us special is our blend of local expertise and global reach, offering you the perfect mix of fun, focus, and flexibility. We give you the best of both worlds: the dynamic, close-knit feel of a smaller agency, where you can truly make a difference, along with the exciting projects and career growth opportunities of a global company.
Our role is a fantastic opportunity for hands-on experience, mentorship, and exposure to a variety of projects. You’ll get to develop your skills and advance your career in a supportive, hybrid work environment. Join us at Clarity, and become part of a team dedicated to working towards a better tomorrow.

Responsibilities

OUR ROLE

We’re seeking a Financial Controller to join our London Finance team. This pivotal role oversees all financial aspects, from corporate accounting and regulatory reporting to budget forecasting and internal controls development. The ideal candidate boasts a strong financial management background in media or advertising and will serve as a key partner to senior management.

KEY RESPONSIBILITIES:

  • Financial Reporting & Analysis:
  • Prepare timely and accurate financial statements, management reports, and variance analysis.
  • Oversee the monthly, quarterly, and annual financial close processes.
  • Provide strategic financial insights to the executive team based on data analysis.
  • Budgeting & Forecasting:
  • Lead the annual budgeting process, including forecasting future financial performance.
  • Monitor and report on budget versus actual performance, identifying and addressing any discrepancies.
  • Cash Flow Management:
  • Manage the short term cash flow, ensuring the company meets its financial obligations, sharing with our lenders regularly.
  • Monitor and analyse cash flow projections and provide recommendations on liquidity management.
  • Internal Controls & Compliance:
  • Develop and maintain a strong system of internal controls, ensuring financial integrity and compliance with legal regulations.
  • Coordinate the preparation of regulatory reporting and liaise with external auditors.
  • Cost Management:
  • Analyse operational costs and identify opportunities for cost savings.
  • Work closely with department heads to manage and control expenses.
  • Financial Strategy & Planning:
  • Collaborate with senior management to develop and implement financial strategies that align with business objectives.
  • Provide financial analysis and modelling to support strategic decisions, including new business ventures and investments.
  • Team Leadership:
  • Manage and mentor the finance team, fostering a culture of continuous improvement.
  • Lead recruitment, training, and development of financial staff.
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