Job Search and Career Advice Platform

Enable job alerts via email!

Interim Senior Finance Professional

Trial Balance

Callington

Hybrid

GBP 65,000

Full time

30+ days ago

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Job summary

A leading finance consulting firm is seeking an experienced Interim Senior Finance Professional in Callington. This full-time hybrid role involves supporting the CFO with cashflow forecasting, budgeting, and credit management. Candidates must be immediately available and hold a professional qualification (ACA/ACCA/CIMA). The contract is anticipated to last at least three months.

Qualifications

  • Immediately available seasoned finance professional with a professional qualification.
  • Experience in cashflow forecasting, budgeting, and credit management.

Responsibilities

  • Produce detailed cashflow forecasts for internal and external presentation.
  • Monitor daily cash flow expenditures to ensure operational liquidity.
  • Manage all aspects of the company’s aged debtor management.

Skills

Cashflow forecasting
Budgeting
Credit management
Complex variance analysis

Education

Professional qualification – ACA/ACCA/CIMA
Job description
Overview

Interim Senior Finance Professional - Callington / Hybrid - Circa: £65,000 FTE Negotiable. Trial Balance Consulting have been contacted by a long standing client, a large Cornish services provider who urgently seek to recruit a highly experienced Accountant (probably operating at Financial Controller/Director level), to assist them during a particularly busy period as the business experiences a period of positive change. Commencing ASAP, this will be a full time contract with an anticipated duration of no less than three months. The role can be operated on a hybrid basis where required with up to two days per week remote and the remainder based from the company’s headquarters in Callington.

The successful candidate will support an experienced CFO, Financial Controller and FP&A Manager with a host of external stakeholder reporting tasks where high quality cashflow forecasting, budgeting and credit management skills will be essential.

Responsibilities
  • Play a key role in the production of detailed cashflow forecasts for both internal and external presentation (to include external investors)
  • Monitor and report on daily cash flow expenditures (in and out), to ensure adequate operational liquidity
  • Assume key responsibility for all aspects of the company’s aged debtor management
  • Identify key trends, patterns and drivers that may affect cash flow strategies
  • Ensure compliant and efficient statutory controls
  • Complex variance analysis
  • Development of internal controls
Requirements
  • Immediately available seasoned finance professional (that holds a professional qualification – ACA/ACCA/CIMA)
  • Seeking a broad and interesting contract taking you into the summer
  • Hybrid role with up to two days remote per week

If you are an immediately available seasoned finance professional (that holds a professional qualification – ACA/ACCA/CIMA), seeking a broad and interesting contract taking you into the summer, please get in touch with Steve Roach quoting reference SR9788 as soon as possible.

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.