Financial Controller - South Belfast - Hybrid

MCS Group

Belfast City District

Híbrido

GBP 65 000 - 90 000

Tempo integral

Há 3 dias
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Resumo da oferta

MCS Group is seeking a detail-oriented Financial Controller for our South Belfast operation. This hybrid role oversees daily accounting operations, financial reporting, and internal controls across multiple sites, ensuring regulatory compliance and data integrity.

You will lead the accounting team, drive group reporting for management and statutory purposes, and partner with senior stakeholders to optimise working capital and financial performance.

Qualificações

  • 5+ years of progressive accounting experience, with at least 2 years in a supervisory role.
  • Advanced ERP knowledge (Sage, Business Central) and Excel skills.
  • CPA, CMA, or ACCA certification.
  • Bachelor's degree in Accounting or Finance.

Responsabilidades

  • Financial reporting and analysis.
  • Maintain internal controls and regulatory compliance.
  • Lead and mentor the accounting department across AP, treasury, accounting, and AR.
  • Manage treasury and cash flow to optimise working capital.
  • Coordinate audit and tax activities.
  • Lead budgeting, costing, and Capex reporting.

Conhecimentos

Financial reporting
Internal controls
Team leadership
Communication
Analytical

Formação académica

Bachelor's degree in Accounting/Finance
CPA/ CMA/ ACCA

Ferramentas

Sage
Business Central
Excel

Descrição da oferta de emprego

Financial Controller - South Belfast - Hybrid Role
Job Summary

I am seeking a detail-oriented and strategic Financial Controller to oversee the daily accounting operations, financial reporting, and internal controls. In this role, you will lead the accounting team across multiple sites, ensure full compliance with regulatory standards, and maintain the integrity of the financial data. You will play a pivotal role in group reporting of our financial numbers both from a management and external statutory reporting perspective.

Key Responsibilities
  • Financial Reporting & Analysis
  • Internal Controls & Compliance
  • Team Leadership: Manage and mentor the accounting department, overseeing functions including Accounts Payable (AP), Treasury and Banking, Financial Accounting, Accounts Receivable (AR).
  • Treasury & Cash Management: Monitor and manage daily cash flow, optimise working capital, and oversee corporate bank accounts.
  • Audit & Tax Coordination
  • Budgeting & Costing
  • Own the Capex reporting process
Required Skills & Qualifications
  • Education: Bachelor's degree in Accounting, Finance, or a related field.
  • Certification: CPA, CMA, or ACCA.
  • Experience: 5+ years of progressive accounting experience, with at least 2 years in a supervisory or management role.
  • Technical Proficiency: Advanced knowledge of ERP systems (e.g., Sage, Business Central) and expert-level Microsoft Excel
  • Soft Skills: Strong analytical capabilities, exceptional attention to detail, and the ability to communicate complex financial concepts to non-finance stakeholders.

Salary - Negotiable

Hybrid & Flexible Working Pattern Available

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