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Finance Business Partner

Pratap Partnership Ltd

Sheffield

Hybrid

GBP 40,000 - 60,000

Full time

30+ days ago

Job summary

A growing service business in Central Sheffield is seeking a motivated Accountant to play a pivotal role in shaping financial strategy. As part of the Commercial Finance Team, you will deliver forward-looking analysis, insightful reporting, and robust financial forecasts. This high-impact position requires strategic thinking, advanced Excel skills, and the ability to drive planning processes, making it ideal for those eager to contribute meaningfully in a dynamic environment.

Benefits

Hybrid working
Excellent career progression
Bonus scheme

Qualifications

  • Fully qualified accountant (ACCA, ACA, or CIMA).
  • Demonstrated expertise in budgeting and forecasting across both P&L and cash flow.
  • Advanced Excel and financial modelling skills.

Responsibilities

  • Coordination of the Group’s annual budgeting and reforecasting processes.
  • Deliver insightful monthly performance reports and dashboards.
  • Variance analysis on revenue, cost, and margin performance.

Skills

Budgeting
Forecasting
Analytical mindset
Financial modelling
Strategic thinking

Education

ACCA
ACA
CIMA

Tools

Excel

Job description

Are you looking for a strategic finance role that’s more than just numbers?

Do you thrive when helping senior leaders make informed, future-focused decisions?

Are you ready to play a pivotal role in shaping financial strategy at a critical point in a company’s growth?

This growing service business in Central Sheffield is looking for a motivated Accountant to help us reach their ambitious goals.

Working within the Commercial Finance Team, you’ll be responsible for delivering forward-looking analysis, insightful reporting, and robust financial forecasts.

This role combines strategic thinking with hands-on analysis, helping to bring clarity to business performance and supporting a wide range of commercial initiatives. It’s a high-impact role in a fast-paced, dynamic environment, ideal for someone eager to make a meaningful difference.

  • Coordination of the Group’s annual budgeting and reforecasting processes
  • Enhance and maintain financial planning tools
  • Deliver insightful monthly performance reports and dashboards, leveraging and evolving existing KPI reporting
  • Variance analysis on revenue, cost, and margin performance
  • Partner with senior operational and commercial teams as a trusted advisor

You will be:

  • Fully qualified accountant (ACCA, ACA, or CIMA)
  • Demonstrated expertise in budgeting and forecasting across both P&L and cash flow, with the ability to drive planning processes.
  • Advanced Excel and financial modelling skills
  • Strong analytical mindset and confident in delivering actionable insights from complex financial data.
  • Commercially astute and strategically minded

Benefits:

Hybrid working, excellent career progression, and a bonus scheme.

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