Group Financial Controller

7 days ago


Greater Manchester, United Kingdom Clarity Business Travel Full time

Overview and what we offerMon - Friday 37.5hrsLocation - ManchesterRefer a friend for £1000 bonus which is unlimitedGenerous holiday entitlementDay off for your birthdayStaff AwardsHotel and airline discountsEmployee Assistance ProgrammeOUR COMPANY CULTURE IS..... Bright, Energetic, Fast Paced and Rewarding, where we PROVIDE you with the opportunity for that brighter FUTUREClarity Travel is an Equal Opportunity Employer. We celebrate diversity and are committed to creating an inclusive environment for all employeesAt Clarity we not only listen, we adapt and we deliverWho we are and what we doWe're a global, multi award winning Business Travel Company and we make business travel straightforward By getting our customers where they need to be for work, safely, efficiently, and cost-effectively. We do this through a fusion of cutting-edge-technology and exceptional customer service.Our team comprises of over 800 industry experts, delivering the right service at exactly the right moment, we are the trusted provider of hassle-free travel management programmes for progressive businesses and organisations everywhere.Our peopleAre the heartbeat of our business and we invest heavily in training and development through our dedicated training academy and personal career development growth programmesRole PurposeAs our business continues to grow and evolve, we are seeking a Group Financial Controller to bring structure, insight, and strategic oversight to our financial operations. This role is critical in ensuring that our financial systems are robust, our reporting is accurate, and our leadership team is empowered with the data they need to make informed decisions.The Interim Group Financial Controller will ensure compliance, driving efficiency, and supporting long-term planning. This is more than a numbers role — it’s about creating clarity, enabling growth, and safeguarding our future.Operational – Key TasksFinancial Reporting & ComplianceSupport the Group CFO with monthly board reportingEnsure compliance with statutory requirements, tax filings, and regulatory obligations.Liaise with external auditors and manage the audit process from planning to completion.Budgeting, Forecasting & AnalysisLead the annual budgeting process and rolling forecasts.Provide insightful variance analysis and commentary to support business decisions.Develop financial models to evaluate business performance and investment opportunities.Monitor and manage cash flow to ensure the business meets its financial obligations.Oversee banking relationships and optimise working capital.Implement strategies to manage financial risk.Design, implement, and maintain robust internal controls and financial procedures.Identify opportunities to streamline processes and improve efficiency through automation and system enhancements.Ensure financial systems are fit for purpose and scalable with business growth.Working alongside the Group head of financial reporting to support the development of the Group finance team.Set clear objectives, conduct performance reviews, and support professional development.Promote cross-functional collaboration and act as a finance business partner across departments.Work closely with the CFO and senior leadership to shape financial strategy and support long‑term planning.People ManagementConsider PDPs and set expectation on appraisals and 121s (All employees should have as a minimum 2 reviews each year, at mid and end of year). 121s should be regular as required based on the individual — weekly, biweekly or monthly as a minimum.Manage, support and coach individual and team performance.Maximise individual and team results by increasing productivity and improving overall performance.Encourage a customer-focused working environment with clear responsibilities and expectations for team members.Hold regular team talks with the team to ensure they are kept informed about performance against targets and key business issues.Essential ExperienceProfessional Qualification: ACA, ACCA, CIMA, or equivalent.Post-Qualification Experience: Minimum 5 years in a senior finance role, ideally including experience as a Financial Controller or Finance Manager.Industry Exposure: Experience in the travel industry is highly desirable.Audit & Compliance: Proven track record managing audits and ensuring compliance with UK GAAP/IFRS and tax regulations.Team Leadership: Demonstrated ability to lead, mentor, and develop finance teams.Systems & Tools: Hands‑on experience with ERP systems (e.g., NetSuite, SAP, Oracle) and advanced Excel skills.Key SkillsTechnical Accounting Expertise: Deep understanding of financial reporting, consolidation, and statutory compliance.Analytical Thinking: Strong ability to interpret financial data and provide actionable insights.Commercial Acumen: Ability to connect financial performance with business strategy and operations.Communication: Excellent written and verbal communication skills, with the ability to present complex financial information clearly to non-finance stakeholders.Desirable ExtrasExperience with financial planning and analysis (FP&A) tools or business intelligence platforms (e.g., Power BI, Tableau).Exposure to M&A, fundraising, or investor reporting.Knowledge of ESG reporting or sustainability finance practices.For more information and to apply, please visit our website via the apply button below. #J-18808-Ljbffr



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