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Trinity House Group in Leicester is seeking a Financial Controller to own the group cash flow and treasury, managing day-to-day cash across multiple entities and building forecasting beyond a simple projection.
You will lead the central finance team, own budgets and month-end for central cost centres, and drive integration of newly acquired businesses. Report to the Finance Director with a clear path to progress as the Group grows.
We are supporting a highly successful PE-backed Group based in Leicester to hire a Financial Controller for its central finance function. This is a highly visible role within the business, who are entering into another exciting phase of growth through acquisition. This role will take full ownership of Group cash flow and treasury, managing the day-to-day cash position across multiple entities, and building forecasting that goes beyond a simple projection. Alongside this you will lead the central finance team, own the budgets and month end process for central cost centres, and play an active role in integrating newly acquired businesses into the Group.
This is a role for someone who wants genuine ownership of cash and control, not just oversight of a process. You will need to be commercially minded, comfortable in a fast-moving environment, and confident leading a team through change. You will have genuine scope to make your mark – reporting into a Finance Director who is genuinely invested in your development and keen to give you the space to shape the function your way, with a clear path to progress as the Group continues to grow.
I am shortlisting now, with interviews taking place week commencing 24th August.