Financial Controller

Jobtailor

Oxford

On-site

GBP 55,000 - 75,000

Full time

14 days+

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Benefits offered by this job

25 days annual leave plus bank holidays
Private healthcare
Generous pension
Share options
Flexible working arrangements

Job summary

Seloxium in Oxford is looking for a Financial Controller to lead its financial management and support the CFO. The role involves overseeing accounts, ensuring accurate reporting, and managing compliance with UK GAAP standards.

Ideal candidates will have over 5 years of relevant experience and be fully qualified accountants. The position offers a competitive salary and excellent benefits, including flexible working arrangements to support your work-life balance.

Qualifications

  • 5+ years of experience in a financial control or senior finance role.
  • Experience in a high-growth or start-up environment preferred.
  • Exposure to international financial reporting and multi-currency environments.

Responsibilities

  • Own the monthly management accounts, ensuring accurate reporting.
  • Manage year-end statutory accounts and liaise with external auditors.
  • Contribute to the annual budgeting process with department heads.

Skills

Post-qualification experience in financial control
Knowledge of UK GAAP
Ownership of month-end processes
Experience with VAT returns

Education

Fully qualified accountant (ACA, ACCA or CIMA)

Tools

Financial modelling software

Job description

Who are we?

Seloxium Limited is a specialist critical metals recovery business, working with industrial manufacturers and mining operations to recover high-value materials from waste streams. We are a fast‑paced company at an exciting stage of development, scaling our operations across two sites – an R&D laboratory facility in Oxford and a pilot processing plant in the North East of England. As we grow, we are looking for a talented and commercially aware Financial Controller to take ownership of our financial management function and support the CFO in shaping the financial strategy of the business.

About the Role

Reporting directly to the CFO, you will be responsible for the day‑to‑day financial management of the company, ensuring robust controls, accurate reporting and strong financial governance are in place as the business scales. Alongside your core controllership responsibilities, you will work closely with the CFO on selected strategic projects, making this a role with genuine breadth. We need a fully qualified accountant (ACA, ACCA or CIMA) with a strong working knowledge of UK GAAP principals for this post.

Financial Management & Reporting
  • Own the monthly management accounts processing them end‑to‑end, delivering accurate and timely financial reporting to the CFO and senior leadership team
  • Maintain and continuously improve the financial control environment, ensuring robust processes, reconciliations and controls are in place across all areas of the business
  • Oversee accounts payable, accounts receivable and treasury management, ensuring healthy cash flow and working capital management
  • Manage the year‑end statutory accounts process, acting as the primary liaison with external auditors
  • Ensure full compliance with UK and all relevant financial reporting standards
  • Oversee VAT returns and other tax compliance obligations, working with external advisors as required
  • Lead the consolidation of group accounts, ensuring alignment between parent and subsidiary entities
  • Oversee the financial management and reporting of overseas entities
  • Support cross‑border financial operations, including intercompany transactions and transfer pricing considerations
Compliance & Grant Submissions
  • Coordinate and manage submissions for R&D tax credit claims
  • Contribute to financial reporting and claims for Innovate UK grants
  • Contribute to financial administration related to European grants as needed
  • Manage procurement processes and supplier payments
  • Ensure compliance with all relevant statutory and regulatory financial obligations
Budgeting, Forecasting & Planning
  • Contribute to the annual budgeting process, working collaboratively with department heads to produce a robust and well‑evidenced budget
  • Provide the CFO and senior leadership team with timely and accurate financial outlooks
  • Assist the CFO with maintaining financial models to support operational decision‑making, scenario planning and business case development
  • Monitor performance against budget and forecast, identifying variances and working with relevant teams to understand and address them
Strategic Support to the CFO
  • Support the CFO on strategic financial projects, including fundraising, investor reporting, financial due diligence and business planning
  • Contribute to the development of the company's financial strategy, providing analysis and insight to inform key commercial and operational decisions
  • Assist in the preparation of materials for investors, lenders and the board as required
  • Act as a deputy to the CFO on financial matters when required, representing the finance function internally and externally
  • Support the CFO in the financial setup of international subsidiaries, including entity structuring, systems, and controls
This role is for you if you can demonstrate:
  • 5+ years of post‑qualification experience in a financial control or senior finance role
  • Fully qualified accountant (ACA, ACCA or CIMA)
  • Strong working knowledge of UK GAAP
  • A strong track record in an SME, high‑growth or start‑up environment is strongly preferred – to understand the pace, ambiguity and hands‑on nature of such a business
  • Demonstrable experience owning month‑end processes, management accounts and financial reporting to board level
  • Experience with VAT returns, R&D tax credits and grant funding processes, including Innovate UK / European schemes
  • Experience supporting strategic finance activity – such as fundraising, investor reporting or financial modelling – is highly desirable
  • Exposure to international financial reporting or multi‑currency environments
  • Experience working with and managing external tax and accounting advisers, both in the UK and abroad
Ideally you can also show:
  • Experience working across global markets
  • Experience engaging with senior stakeholders in mining or resources businesses
  • Familiarity with precious metal markets, commodity pricing or waste‑to‑value processes
  • Experience with IFRS
  • Exposure to R&D tax credits or grant funding
Benefits
What Seloxium Offers
  • A competitive, industry‑bench marked salary
  • 25 days annual leave plus bank holidays
  • Excellent employee benefits, including generous pension, private healthcare and share options
  • A broad finance role with strategic exposure and traditional controllership
  • The opportunity to help shape the financial infrastructure of a high‑growth, innovative business at an exciting stage of its development
  • The opportunity to help shape the growth strategy of a specialist business in a sustainability‑driven sector
  • Flexible working arrangements to ensure your work‑life balance
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