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Are you keen to work for a dynamic charity whose work provides critical support to someone of the most vulnerable people in society? Could you confidently provide financial leadership and direction to a small team of finance professionals, and advise Board level stakeholders? Keen to work for an organisation who boasts an exceptional employee culture? If yes, this could be the role for you! My client is a vibrant charity based in Loughborough who are seeking a Senior Finance Manager to join their lovely, passionate team on a permanent basis. As the number one in finance, you will be responsible for overseeing the whole finance function of the charity, including managing a small team and presenting regularly to the Board and various Committees. There are exceptional opportunities for on-the-job training and development on offer for the right candidate, so this CV-enhancing opportunity is not one you will want to miss! The key duties of this Senior Finance Manager role are as follows: Oversee all aspects of the charity's finances, from managing the ledgers, overseeing payroll and producing monthly management accounts. Business partner with senior stakeholders up to CEO level to challenge assumptions, explain financial performance and advise on decision making. Prepare reports for presentation to the Board and various Committee meetings as required. Full responsibility for coordinating the external audit and statutory accounts processes. Take the lead in the annual budget setting process. Provide leadership and direction to a small team of finance professionals, giving them opportunities to further their careers. Attend weekly senior management team meetings and contribute to wider organisation growth and strategic development. This opportunity would suit a proven number one in finance or someone ambitious with a solid grounding in financial management who is looking to take the next step up and learn the ropes of what is means to be a number one in finance. Please note that this role will be largely office-based, so applicants must live within a commutable distance from their offices in Loughborough. The successful candidate will have: Demonstrable experience in management accounting and business partnering. A mindset for financial planning and financial leadership. Ideally, a background working in the not-for-profit sector, but this is by no means essential. Experience of or the desire to manage a small finance team. Brilliant communication skills and be extremely purpose led. If you think this Senior Finance Manager role sounds like the right next step for you, please do not delay in applying as applications are under continuous review.
Are you ready to play a pivotal role in reshaping financial strategies? Great opportunity to join a very successful private equity-backed software group focusing on financial strategies, net working capital, cash modelling, debt management, and more. Offering between £70,000 to £85,000 Bonus Equity Options Very Flexible Hybrid Working (mostly remote, 1 day in the office) About the Role: This is a newly created role (reporting into the Commercial FD and a dotted line to CFO/Wider C-Suite) to gain a deeper understanding of cash flow and net working capital (NWC). Historically, they've focused on EBITDA, but now they're expanding the team to ensure they have a comprehensive grasp of their wider financial health. It's worth highlighting that this isn't a P&L focused business partnering role, we're looking for someone with a fairly niche skillset (details below). They've already got a decent-sized technical accounting team adept at handling numbers and cash flow, treasure etc. However, what's missing is unravelling the 'why' behind these figures. Your Responsibilities: Be responsible for the delivery of monthly net working capital and cash flow analysis Co-ordinate finance resource (to delivery required detailed analysis) to enable the delivery of this insight Be responsible for financial modelling in relation to cash flow generation, debt serviceability and leverage Work with the Treasury function to support operational cash flow insight Work on financing related activity, including new financing options, incremental facility raises, hedging strategy and strategic reviews of our debt structure Craft compelling narratives for the board and lenders, highlighting key insights. Picture digging into why trade debtors are rising and determining the necessary course of action. Collaborate closely with sponsors, the board, and investors, providing high-level exposure. Work with the wider board on financing strategies and opportunities. Key requirement: ACA/ACCA/CIMA Qualified with specialist background in financial modelling, with a focus on cash flow, net working capital, hedging, FX and or debt management. Why Join them: Clear progression opportunities including FP&A, Commercial Finance, and Investor Relations... all up for grabs. Work alongside a talented team in an environment that fosters innovation and growth. Some fantastic benefits on offer, Bonus, Equity Options, Enhanced holiday & maternity/paternity packages and a very flexible working environment (1 -2 days in the office) If you'd like to know more about this position, just hit the apply button and I'll be in touch. If you're just browsing our website and would like to have a chat first drop me a message on LinkedIn (Ben Love). Distinct Recruitment Privacy Policy