Financial Controller at Venari Recruitment
LP8, , United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

04 Sep, 25

Salary

75000.0

Posted On

05 Jun, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Flow Management, Forecasting, Private Healthcare, Budgeting

Industry

Financial Services

Description

Delighted to be supporting our high-profile private equity client with the recruitment of a site Financial Controller. The role has become available due to a recent acquisition.
The role is based in the Argyll region, with 2 days per week required on-site.
The role will report directly to the Operations Director and will be operational in nature.

Role Overview:

  • Preparation of month-end accounts, forecasts, cashflow forecasts and budgets including the provision of insightful variance analysis.
  • Provide monitoring of cost/revenue drivers.
  • Preparing financial data associated with Contract Variations and other financial contractual matters
  • Support capital expenditure requests and associated business cases
  • Oversee the production of monthly/quarterly /bi-annual and annual reporting
  • Provide support to the Financial Planning and Analysis team and the wider UK finance teams
  • Manage the contract Finance Team

.

OUR ESSENTIAL REQUIREMENTS

  • Professional accounting qualification (CIMA, ACA or ACCA) with 3 years PQE
  • Proven experience in financial management, including budgeting, forecasting, cash flow management, and compliance
  • Strong system skills

Package:

  • £70,000-£75,000
  • Hybrid working- 2 days onsite per week
  • up to 20% bonus
  • Private Healthcare
  • Competitive pension

Job Types: Full-time, Permanent
Pay: £65,000.00-£75,000.00 per year

Additional pay:

  • Bonus scheme

Benefits:

  • Company pension
  • Flexitime
  • Free parking
  • On-site parking
  • Work from home

Schedule:

  • Monday to Friday

Work Location: Hybrid remote in Lochgilphead PA31 8AF
Reference ID: 97

Responsibilities
  • Preparation of month-end accounts, forecasts, cashflow forecasts and budgets including the provision of insightful variance analysis.
  • Provide monitoring of cost/revenue drivers.
  • Preparing financial data associated with Contract Variations and other financial contractual matters
  • Support capital expenditure requests and associated business cases
  • Oversee the production of monthly/quarterly /bi-annual and annual reporting
  • Provide support to the Financial Planning and Analysis team and the wider UK finance teams
  • Manage the contract Finance Tea
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