Regional Financial Controller

Hard Rock Hotel Cancun

Greater London

Hybrid

GBP 85,000 - 120,000

Full time

14 days+

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Job summary

Hard Rock Cafe London is seeking a Regional Financial Controller to lead the UK finance function, ensuring robust governance, regulatory reporting, and strong internal controls. You will own monthly close, management reporting, and external audits, while managing payroll and balance sheet reconciliations for the UK cafes.

You will partner with Operations & Marketing to drive financial discipline, oversee intercompany activity, and maintain relationships with banks and government bodies to ensure

Qualifications

  • Must have strong knowledge of UK GAAP/IFRS reporting standards.

Responsibilities

  • Lead the UK finance function to support governance and reporting.
  • Oversee monthly and year-end close processes and management reporting.
  • Coordinate external audits ensuring compliant, seamless processes.
  • Manage biweekly UK cafes payroll through completion.
  • Reconcile monthly balance sheets including cash, stock, prepayments, accruals, and fixed assets.
  • Prepare and submit monthly EU Sales Reporting and quarterly VAT returns.
  • Oversee intercompany reconciliations and settlements.
  • Liaise with banks and government authorities on financial requirements and compliance.
  • Partner with Operations & Marketing to deliver efficient financial management.
  • Supervise UK financial assistants on daily cash, A/R, COS, payroll and ad-hoc analysis.

Skills

Financial reporting
Budgeting
Internal controls
Audit coordination

Job description

## Regional Financial ControllerApplylocations: Hard Rock Cafe London United Kingdomtime type: Full timeposted on: Posted Todayjob requisition id: R11598Our team members are the key to our company’s success, and their health and well-being, as well as that of their families, is very important to us. We offer a comprehensive benefits package that allows our team members stay healthy, plan for their future and maintain a healthy work-life balance. Benefits may vary with employment status. To see our fill list of Team Member Benefits please visit our career site: www.gotoworkhappy.com/benefits**Job Description:****Purpose of the Role/Role Overview**:Financial Controllership to undertake all aspects of financial management, regulatory and financial reporting, financial risk management, budget and forecasts preparation, as well as adherence & development of internal control policies and procedures.Lead the creation of a dynamic finance function with the ability to respond positively to a rapidly changing organization and competitive business landscape.**Core Responsibilities:*** Day-to-day responsibility is directing and leading finance department across the UK to support the organization’s financial oversight, corporate governance and reporting activities.* Elaboration and execution of the monthly and year end close process; management reporting for all UK cafes whilst adhering to pre-defined dateline.* Detailed review of management reports to assess risk, analyse efficiency and participate on decision making by senior management for current or long term financial planning and budgeting processes.* Ownership of the yearly external audit process to ensure a compliant & seamless audit process; in accordance with the UK/US GAAP/IFRS Reporting Standards and the final elaboration of statutory reports & filing process of UK entities.* Leading the bi weekly payroll process for the UK cafes until its completion.* Monthly Balance Sheet reconciliation for all the UK cafes, including and not limited to Cash accounts, Stock, Prepayments/Accruals, Fixed Assets additions reporting, etc.* Preparation & submission of monthly EU Sales Reporting and quarterly VAT return.* Managing the bacs payment process for all GBP payment on all Hard Rock Entities worldwide, including the corporate offices. Reviewing and executing all bacs payment request to ensure all vendors are paid on time and follow up on any discrepancies and anomalies.* Monthly reconciliation of Intercompany account, posting of journals and final Intercompany settlement.* Liaison between the company and banking institutions on regular basis to ensure that requirements are addressed and executed.* Prime company contact for government institution such as Town Hall/City Council on matters such calculation & payment of monthly/yearly rates, licensing, statistical data and other compliances (finance).* Business partnering with key departments across the business such as Operations & Marketing, with the objective to provide an efficient financial management service.* Supervision of all UK FA’s on all finance matters such as Daily Cash & Credit Card Auditing, Invoicing of A/R, Weekly COS, Payroll and any ad-hoc analysis.* Relationship Management – maintain and develop collaborative relationship with outside services such as Legal and Property Management.
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