Group Financial Reporting Manager

Alexander Lloyd

Greater London

On-site

GBP 85,000 - 110,000

Full time

14 days+
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Job summary

Alexander Lloyd represents a fast-growing hospitality group seeking a Group Financial Reporting Manager in London. The role reports to the VP Finance and oversees a Financial Accountant, driving treasury, debt reporting, and statutory accounting in a multi‑GAAP environment.

The role requires a qualified accountant with 3+ years’ experience, strong IFRS knowledge, and excellent systems skills. Office-based, five days a week near London Bridge.

Qualifications

  • Qualified Accountant (ACA/CIMA/ACCA), trained at a top 10 firm.
  • Strong IFRS awareness and interaction with local GAAPs.
  • Excellent systems and modelling skills (NetSuite, MS Excel, BI).
  • Confident managing a team while delivering independently.
  • Strong analytical and organisational skills with ability to handle varied workload and tight deadlines.
  • Exposure to multi-jurisdiction/multi-GAAP desirable.

Responsibilities

  • Monitor daily cash positions and lead group treasury management, including cash flow forecasting and investor updates.
  • Own debt facility reporting, debt waterfalls, IPDs, and covenant reporting.
  • Oversee monthly interest and hedge accounting and quarterly debt-related shareholder reporting.
  • Lead quarterly owner reporting, liaise with Internal Audit and intercompany management.
  • Act as primary bank contact, onboarding and administration of accounts across the group.
  • Lead on ad hoc projects with VP Finance as the Group grows.

Skills

Technical accounting
Analytical skills
Leadership & independence

Education

ACA/CIMA/ACCA qualification

Tools

NetSuite
MS Excel
BI tools

Job description

We are working with our London-based client during an exciting period of growth to hire a Group Financial Reporting Manager.

They are a fast-growing, private equity-backed hospitality group and the business is scaling rapidly across key European gateway cities. With significant investment in process and systems to support this growth, this role offers genuine scope for personal development within a fast-paced, energised environment.

Due to the nature of the role, this is office-based and therefore does require 5 days being present in the office near London Bridge.

The Role

Reporting into the VP Finance and managing one Financial Accountant, you will play a key role in the Group's finance function, balancing technical accounting judgement with hands-on delivery.

Core responsibilities include:

  • Monitoring daily cash positions and leading group-wide treasury management, including short- and long-term cash flow forecasting and bi-weekly investor updates
  • Acting as subject matter expert on the Group's Debt Facility Agreements, managing monthly debt waterfalls, quarterly IPDs, and covenant compliance/lender reporting
  • Ownership of monthly interest and hedge accounting, and quarterly shareholder reporting on debt-related balances
  • Quarterly owner reporting, liaising with Internal Audit, and intercompany management
  • Acting as primary contact for banks, including onboarding and administration of accounts across the Group
  • Leading on business-critical ad hoc projects alongside the VP Finance as the Group continues to grow

What We're Looking For

  • Qualified Accountant (ACA/CIMA/ACCA), trained at a top 10 firm, with 3+ years' relevant industry experience
  • Strong technical accounting skills, with awareness of IFRS and how this interacts with local GAAPs
  • Excellent systems and modelling skills (NetSuite, MS Excel, BI or similar)
  • Confidence managing a team as well as working independently
  • Strong analytical and organisational skills, with the ability to manage a varied workload and tight deadlines
  • Exposure to multi-jurisdiction/multi-GAAP groups is desirable

Working arrangement: Full-time, office-based 5 days a week (London Bridge)

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