The following job is no longer available:
Interim Financial Controller 6-12m contract

Interim Financial Controller 6-12m contract

Posted 12 April by Ian Leech Professional Recruitment Easy Apply Ended

Fast paced client with a diverse range of services and products is now looking to appoint an Interim Financial Controller to take full responsibility for all aspects of financial reporting and transactional finance.

Specific responsibilities will include:

Management and financial accounting

  • full responsibility for month end processing and financial close
  • control account and balance sheet reconciliations
  • nominal ledger/trial balance integrity
  • production of the firm's monthly management accounts including profit and loss, cash flow and balance sheet and the annualstatutory accounts
  • annual budgeting and quarterly reforecasting for central teams
  • quarterly covenant reporting

Statutory and regulatory compliance responsibility for:

  • Statutory financial reporting
  • HMRC - VAT and payroll tax
  • Payroll and pensions regulatory compliance
  • Qualified Accountant (ACA/ACCA)
  • Experience within a similar role: experienced finance manager with responsibility for managing a large finance transactional processing teams combined with responsibility for statutory reporting and financial control
  • Strong communication, inter-personal and managerial skills including managing internal senior management relationships
  • Excellent balance sheet control account reconciliation and financial control awareness
  • Strong attention to detail with the ability to apply pragmatism and deliver solutions within a strict regulatory controlled environment
  • HMRC -PAYE and VAT legislation awareness and understanding
  • Must be IT literate with advanced excel 2010 skills
  • A self-starter with strong motivation
  • Focused on delivering a high quality level of customer service
  • Able to communicate effectively at all levels
  • Able to challenge the status quo and deliver change solutions to improve business process
  • E
  • Flexibility to work extra hours as and when required


  • VAT returns
  • Payroll tax and returns

Cash and working capital management

  • Produce rolling 13 week cash flow forecast and ensure daily monitoring against banking facilities
  • Assistance in the preparation of the annual budget and quarterly forecast cash flow and balance sheets and monthly actual variance analysis
  • Work with business to implement best practice working capital management

Required skills

  • Annual Budget
  • Financial Control
  • Working Capital Management
  • Managerial Skills

Reference: 34863465

Bank or payment details should not be provided when applying for a job. is not responsible for any external website content. All applications should be made via the 'Apply now' button.

Report this job