Financial Controller – Group Reporting & Treasury
Robert Half · Manchester et périphérie
Job description
About the role
This senior Financial Controller position sits close to the CFO and oversees group management accounts, treasury and cash management for a multi‑entity, international business based in Manchester.
Key responsibilities
- Own the monthly group management accounts process, including balance‑sheet reconciliations, overhead coding, inter‑company reconciliations and variance analysis.
- Present financial results to divisional Managing Directors and explain key drivers to non‑finance stakeholders.
- Produce weekly and rolling 13‑week cash‑flow forecasts, manage day‑to‑day cash movements, approve payments and report on working capital.
- Supervise a treasury accountant and cover their duties when absent.
- Handle foreign‑currency considerations for overseas subsidiaries and support year‑end statutory reporting and group consolidation.
Required profile
- Qualified accountant (ACCA or CIMA).
- Significant experience at Finance Manager level or above, preferably within a group structure with multiple entities.
- Comfort with consolidation adjustments and inter‑company eliminations.
- Experience managing and developing a finance team.
- Strong Excel proficiency; exposure to SQL or Power BI is a plus.
Required skills
- Advanced Excel
- SQL
- Power BI
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Published 1 month ago
Expires 23 hours from now
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Robert Half
Manchester et périphérie
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