Job Description
A leading manufacturing business seeks an experienced Financial Controller to oversee working capital management, cash flow reporting, and treasury operations.
Key Responsibilities:
* Cash Flow Optimisation: Implement 13-week cash flow forecasting, lead working capital initiatives, negotiate with suppliers, and secure funding applications.
* Financial Reporting & Treasury: Conduct variance analysis, develop KPIs, prepare board packs, and ensure compliance with banking covenants.
* Project Accounting & Governance: Support Treasury and FX policy development, manage funding applications, and identify sustainability-linked funding opportunities.
Candidate Profile
* Qualified ACCA / CIMA / CPA with 3+ years post-qualification experience.
* Strong commercial awareness and expertise in financial reporting and cash flow management.
* Analytical thinker with excellent planning, organisational, and stakeholder management skills.
* Proficient in Microsoft Excel and financial modelling.
What's on Offer?
This is a fantastic opportunity to join a dynamic organisation and make a significant impact within a growing finance function.