Finance Manager

Anderson Knight

Glasgow

On-site

GBP 70,000 - 90,000

Full time

14 days+

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Benefits offered by this job

Excellent benefits package
Career development opportunities
Hybrid working model

Job summary

A respected financial services firm in Glasgow is looking for a Group Finance Manager to oversee financial reporting, manage cash flow forecasts, and enhance internal controls. The ideal candidate will be a fully qualified accountant with experience in large, complex organizations. This position offers the chance to work on high-value projects and provides a hybrid work arrangement of 3 days in the office and 2 from home. An excellent benefits package is included.

Qualifications

  • Proven experience within a large, complex, multi-entity organisation.
  • Ability to deputise for senior finance leadership when required.
  • Strong communication skills to present financial information.

Responsibilities

  • Oversee monthly financial reporting for multiple entities.
  • Lead preparation of statutory financial statements for audits.
  • Manage Group’s weekly cash flow forecasts.

Skills

Financial reporting
Financial analysis
Communication
Project management

Education

Fully qualified accountant (ACCA, CA, or CIMA)

Job description

Anderson Knight are delighted to be partnering with our well‑established client to appoint a Group Finance Manager to their central Finance team on a permanent basis.

This is an outstanding opportunity to join a highly respected, market‑leading organisation operating within a highly regulated and innovative UK industry. The business continues to grow and invest significantly, offering long‑term career development and exposure to complex, high‑value projects.

Reporting directly to the Group Financial Controller, the Group Finance Manager will play a pivotal role in the delivery of robust financial reporting, strong governance, and commercial insight across the Group.

Key Responsibilities
  • Oversee monthly financial reporting for multiple entities across the Group
  • Act as a key point of contact for the annual external audit and lead the preparation of statutory financial statements
  • Manage and consolidate the Group’s weekly cash flow forecasts, ensuring effective cashflow planning and reporting
  • Maintain, review, and enhance internal financial controls and processes across all Group entities
  • Support the development, consolidation, and delivery of the annual Group budget
  • Lead Group treasury management activities
  • Oversee day‑to‑day transactional finance operations
  • Manage financial matters relating to insurance, rebates, and intercompany recharges
  • Provide financial modelling, forecasting, and commercial analysis to support strategic decision‑making
  • Deliver ad‑hoc financial analysis and support on a range of projects and initiatives
The Ideal Candidate Will Demonstrate
  • Fully qualified accountant status (ACCA, CA, or CIMA)
  • Proven experience within a large, complex, multi‑entity organisation
  • The ability to deputise for senior finance leadership when required
  • Strong communication skills, with the ability to clearly present financial information to both finance and non‑finance stakeholders
  • A proactive, adaptable approach with the ability to support multiple projects simultaneously

In return, you will join a progressive and continually expanding organisation, gaining exposure to multi‑million‑pound projects and senior‑level stakeholders. The role offers hybrid working (3 days in the office, 2 from home) alongside an excellent benefits package, within a culture that encourages innovation and recognises and rewards success.

To apply for this excellent opportunity, please forward your CV in complete confidence.

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