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463 Available Jobs for "data controller"

Atkins Clarke

Financial Controller

External
External

Job DescriptionFinancial ControllerEast Midlands (some travel required) | Salary up to £65,000 + 10% BonusOVERVIEWAtkinsClarke are supporting the appointment of a Financial...

LeicesterAny

Robert Half

Financial Controller

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Robert Half is partnering with a well-established multi-hundred-million-pound international group to recruit a Finance Manager. Operating across the UK and Europe, the business is...

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SF Partners

Credit Controller

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Hays Accounts and Finance

Interim Credit Controller

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Job DescriptionCredit Control / Debt Recovery OfficerLocation: Market Harborough (Hybrid - 3 days WFH, 2 days office) Contract: Temporary - 3 months initially. Hours: Full‑time,...

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Sytner

Porsche Sales Controller

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External

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Hays Accounts and Finance

Interim Senior Credit Controller

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External

Job DescriptionRole Overview We are seeking an experienced Senior Accounts Receivable / Credit Controller to join a global organisation operating across multiple international...

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17918

Tax Reporting and Compliance Controller

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External

hackajob is partnering directly with NEXT to hire for this role. The Role : As our Tax Reporting & Compliance Controller, you'll play a central role in leading the Group's UK and...

LeicesterAny

Hackajob Ltd

Tax Reporting and Compliance Controller

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Job Descriptionhackajob is partnering directly with NEXT to hire for this role.The Role :As our Tax Reporting & Compliance Controller, you'll play a central role in leading the...

LeicesterAny

External
Atkins Clarke

Financial Controller

Atkins Clarke

AnyLeicester
Leicester
Any
Posted 22 days ago by Atkins Clarke

Job Description

Job Description

Financial Controller

East Midlands (some travel required) | Salary up to £65,000 + 10% Bonus

OVERVIEW

AtkinsClarke are supporting the appointment of a Financial Controller on behalf of a Private Equity-backed, high-growth business operating within the services sector across the UK.

This is a pivotal role within the Group's finance function, combining financial control of the central finance cost centres with full ownership of Group treasury and cash flow management. Cash flow is of paramount importance to the business, and this role will own it end-to-end - managing the Group's day-to-day cash position while building cash flow forecasting that goes beyond simple projection to genuinely understand the key drivers and levers available to improve the Group's cash position.

COMPANY

Our client is a Private Equity-backed, high-growth business with a strong reputation for operational excellence, regulatory compliance and customer trust.

Operating a robust buy-and-build strategy with an expanding national footprint, the Group is entering an exciting new phase of growth through both organic performance improvement and targeted acquisitions.

OPPORTUNITY

Reporting to the Director of FP&A, the Financial Controller will lead the central finance team while taking full ownership of cash flow management & Group treasury. This is a hands-on role suited to someone comfortable operating in an agile, fast-paced, acquisitive environment.

Key responsibilities include:

  • Owning the Group's day-to-day cash management, ensuring every operating entity has the funds it needs
  • Building and continuously improving cash flow forecasting to develop a genuine understanding of the drivers behind the Group's cash position
  • Managing banking relationships, facilities, and treasury operations, including intercompany funding
  • Owning central finance budgets, month-end actuals, and variance analysis for the Group's central cost centres
  • Overseeing the purchase ledger function and driving process improvement and standardisation across central finance
  • Leading, coaching, and developing the central finance team, including purchase ledger and junior management accountants
  • Supporting the onboarding and integration of newly acquired businesses into Group treasury and central finance processes

PERSON

We are looking for a qualified accountant with strong technical grounding in both financial control and treasury, and the resilience to thrive in a fast-paced, PE-backed environment.

You will ideally demonstrate:

  • Qualified accountant (ACA/ACCA/CIMA) or qualified by experience, with post-qualification experience in financial control and/or treasury
  • Proven experience managing Group or multi-entity cash flow, including forecasting and treasury management
  • Experience managing a central finance function, including purchase ledger and team leadership
  • Strong technical accounting knowledge alongside excellent Excel and financial modelling skills
  • Commercial astuteness with a genuine curiosity about the drivers behind the numbers
  • A hands-on, adaptable approach, comfortable operating at both detailed and strategic level
  • Experience supporting acquisition integration would be advantageous

OFFER

This is an excellent opportunity to take ownership of Group treasury and central finance within a fast-growing, acquisitive business.

  • Salary up to £65,000 with 10% bonus
  • East Midlands based, with some travel required
  • Broad, high-ownership role spanning treasury, financial control, and team leadership
  • Genuine exposure to the CFO and Finance Director, and to the Group's acquisition activity
  • Opportunity to shape and improve central finance processes as the Group scales

To apply for this position, please click on the apply now button and your CV will be sent directly to the responsible recruiter. We will respond to successful applicants within 7 days, however, please feel free to get in touch if you would like any further information about your application.

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