Following our commitment to invest £20.5 billion in low carbon projects to 2027, we have significant growth plans and are well on our way to achieving our ambition to build a world that's more sustainable and inclusive for you, your family, the community you live in and for generations to come.
SSE has big ambitions to be a leading energy company in a low carbon world.
Boots Opticians are looking for a Senior Finance Analyst Working Capital to join our Controllership team, reporting into the Finance Manager Working Capital, Margin & Franchise Partner Accounts.This is an exciting opportunity to work within a team that has broad reach across pivotal areas of finance, including debtors and creditors, franchise partner accounts, and cash.
You will have responsibility for accurately delivering month end processes, as well as management of cash allocation and analysis of our balance sheet.
This is a multi-faceted role which allows you to use and develop your technical accounting knowledge and analytical mind-set, as well as build relationships with key stakeholders.
Are you looking for an excellent opportunity to use your knowledge of finance in a caring, well-being environment?
Join a Not-for-profit, charity as a Finance Assistant, where you'll collaborate with a supportive community to process payroll, expenses, and sales, while handling finance queries.
Enjoy benefits including flexible working options and involvement in charity and fundraising events.
You will report into the Head of Finance Financial Control, Operations; the main objective being the accurate delivery of month end close whilst adhering to monthly and quarterly SOX controls.
This team has insights into all things Operational from Supply Chain to Property charges.
To operate the School's financial systems, including processing and review of orders, deliveries, invoices and payments.
General
Our secondary school client in West Sheffield is seeking an experienced Finance officer with experience of the finance module of SIMS to cover sickness absence.
This full-time role is based in our Nottingham Head Office and provides clear reporting, forecasting and budgeting on cash flow and working capital for multiple stakeholders to aid business decision-making.You will sit within our Central FP&A team, reporting to the Head of Finance FP&A.
About the role
The FP&A team is recruiting for the crucial Cash & Treasury Finance Manager role.