Hays Senior Finance is delighted to be partnering with a large Public Sector organisation with offices in Chesterfield and London who are looking to add a Finance Analyst to their FP&A Team.
As Chief Financial Officer you will support the MD around the shaping and delivery of strategy particularly with their growth plans but also look after all financial reporting, management of the finance team and working capital management.
I am partnering with a PE backed Recycling business based in the South Yorkshire area to recruit a CFO with a lucrative equity stake on offer!
This metal recycling business is well established and profitable, with links across the North of England for their supply, and a European Distribution network.
The role is ideally suited for a team member who can efficiently manage financial tasks within an Accounting & Finance department of a public sector organisation.
This rewarding Finance Administrator position, located in Sheffield, requires a diligent individual with a keen interest in the public sector and government industry.
Our client is a well-established organisation in the public sector and government industry.
Reporting into the Business Unit General Manager & Group Head of Finance and working on a hybrid basis, duties and responsibilities of the Finance Business Partner will include:
Robert Half Finance & Accounting are recruiting a new role of Finance Business Partner for a growing business within their business unit based in Barnsley.
This varied role will expose the successful candidate to a wide range of finance and financial control for the entire business unit.
Working closely with the Finance Manager and Head of Finance you will support the payroll function, maintaining and updating payroll information.
Akkodis are currently working in partnership with a leading service provider to recruit an experienced Finance Administrator join an established Finance team in Sheffield City Centre.
You will also support the Finance Manager with billing and credit control, purchasing from suppliers, maintaining the periodic postings to the accounting system, and inputting forecast data on P&L, balance sheet and cashflow into Business Planning and Consolidation software.