Financial Operations Manager

4 weeks ago


Bodmin, Cornwall, United Kingdom Tudor Hotels Collection Full time

Financial Controller – Tudor Hotels Collections

Tudor Hotels are committed to developing a sustainable collection of luxury hotels and experiences that respect their core values: Luxury, History, and England. They aim to preserve history to create a high social impact and unique legacy everywhere they operate, while pushing the boundaries of sustainable, low-carbon tourism.

Their mission is to entertain their guests, not just provide a luxurious place to sleep and fine dining, but to give them stories to tell, experiences to remember, and knowledge to share.

The Role

As the Financial Controller, you will be pivotal in managing the company's financial operations and ensuring the integrity of their financial health and reporting. With a keen eye for detail and the ability to thrive in a fast-paced environment, you will contribute to the company's success by providing expertise and leadership within the finance team.

Responsibilities include

  • Create monthly, quarterly, and annual financial reports for the group, overseeing all company accounts
  • Ensure accurate and timely financial reporting, including consolidated financial statements and management of external and internal audits
  • Manage the production of the annual budget and forecasts, ensuring data integrity across all reports and compliance with all financial regulations and standards
  • Develop and maintain internal controls to safeguard the company's assets and ensure the accuracy and reliability of its accounting records
  • Supervise and mentor the finance team, fostering a culture of continuous improvement and professional development, maintaining a high level of competence and operational excellence
  • Provide financial analyses and recommendations to senior management for decision-making purposes
  • Improve efficiencies and reduce costs across the business, managing financial SOPs to streamline operations and improve accuracy
  • Oversee cash flow management, ensuring that company funds are utilized effectively

Required Skills & Experience

  • A qualified accountant (CIMA, ACCA, ACA) with a strong understanding of operational processes, transactional reconciliation, financial controls, and best practices
  • A proven track record of delivering results, with the ability to plan, prioritize, and juggle multiple work streams and projects while working to strict deadlines
  • An ability to adopt a logical approach, critically assess, and resolve complex business issues or problems
  • Experience of Xero, Oracle, and Micros preferred

The Benefits

  • 28 Days holiday
  • Extra days holiday for your birthday
  • Free meals on shift
  • Free Gym access on-site
  • Employee Assistance Programme
  • Exclusive Employee discounts on accommodation, attractions, and dining across the THC Group

Working Schedule

  • Hybrid with occasional travel between sites
  • Full-time

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