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Financial Controller

OCS

Ipswich

Hybrid

GBP 50,000 - 80,000

Full time

4 days ago
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Job summary

An established industry player in facilities management is seeking a highly strategic Financial Controller to enhance financial processes and systems. This pivotal role involves overseeing centralized accounting teams, driving efficiency, and collaborating with senior leaders to provide financial insights that support strategic decision-making. The ideal candidate will possess strong leadership skills, a deep understanding of accounting principles, and a commitment to personal development within the finance team. Join a company that values trust, respect, unity, and empowerment while offering a hybrid working environment and opportunities for career progression.

Qualifications

  • Proven experience in strategic financial leadership and process improvements.
  • Year-end audit experience managing strict reporting timelines.

Responsibilities

  • Oversee centralised management accounting and balance sheet control.
  • Implement robust accounting policies ensuring compliance with standards.
  • Lead FP&A strategy developing insightful reporting.

Skills

Strategic Financial Leadership
Process Improvements
Financial Planning & Analysis (FP&A)
Accounting Principles
ERP Software Knowledge

Education

Qualified Accountant (ACA/ACCA/CIMA)

Tools

ERP Software

Job description

About The Company

OCS UK & Ireland is a leading facilities management company with 50,000+ colleagues and a turnover in excess of £2bn. We deliver innovative, award-winning services within facilities management, hard services, cleaning, security and catering.

Our mission is to make people and places the best they can be for our colleagues, customers and the communities we serve. Our commitment to doing business the right way is rooted in our TRUE values - Trust, Respect, Unity, and Empowerment.

About The Role

We are seeking a highly strategic and experienced Financial Controller to join our finance team. The candidate will oversee centralised management accounting, balance sheet control, corporate finance business partnering, and Financial Planning & Analysis (FP&A). This role is pivotal in ensuring robust financial control, developing efficient processes, and enhancing systems to support the company's growth and strategic objectives.

As part of your role, your key responsibilities will include, but are not limited to:

  • Part of the Corporate Finance senior leadership team the role, you will oversee the businesses 3 centralised accounting teams: Balance sheet control and compliance; Finance business partnering and FP&A, holding the line management responsibility of the 3 respective managers.
  • Drive process improvements across all areas of responsibility creating a standardised balance sheet reconciliation process.
  • Engage with system development project teams to influence and prioritise release of functionality to drive efficiency of process within the teams.
  • Work closely with the wider finance team including commercial finance team and transactional finance, improving communication lines and alignment of ways of working between the teams.
  • Implement and maintain robust accounting policies and procedures, ensuring reconciliation are produced to a high level of detail. Ensure compliance with accounting standards and regulatory requirements.
  • Build relationships with department heads, becoming a trusted advisor. Collaborate with senior leaders to provide financial insights and support strategic decision-making, supporting to drive cost efficiency.
  • Ensure results are submitted and reconciled between local finance systems and group consolidation system, reconciling EBITDA, cash generation and other key metrics monthly.
  • Develop a culture of personal development, coaching and empowerment within the team to develop a best in class finance team.
  • Establish a collaborative relationship between the finance team and payroll function to ensure the key balance sheet areas are highly controlled.
  • Lead FP&A strategy, developing insightful and value add reporting. Working closely with commercial finance teams proving them with key insightful information on a timely basis.
  • Review and improve in the quality of finance data being used for key reporting metrics.
  • Oversee budget and forecasting process improving the efficiency of the consolidation process.

The Ideal Candidate Should Meet The Following Criteria

  • Must have right to work in the UK.
  • Qualified accountant ACA/ACCA/CIMA minimum
  • Proven experience in strategic financial leadership and process improvements.
  • Year end audit experience including managing requirements to meet a strict reporting timetable and acting as primary liaison with external auditors.
  • Knowledge of ERP software.
  • Good knowledge of fundamental accounting principles, IFRS.
  • Audit background preferred but not essential

Other Details

We operate on an informal hybrid working policy of a minimum of three days a week in the office.

How To Apply

If you are interested in joining a business that encourages professional development, career progression and the chance to work with inspirational people then please click apply and register your interest! You can also sign up to our job alerts when registering which will notify you when other suitable vacancies are available.

We are an equal opportunities employer and rely on a diverse workforce with a broad range of knowledge, skills, and backgrounds to deliver our goals. We offer an inclusive and welcoming environment and actively encourage applications from all individuals regardless of race, gender, nationality, religion, sexual orientation, disability, or age.
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