Regional Financial Controller - UK & EMEA
15 Days Old
Position Overview
The Regional Financial Controller will be an integral member of the Finance team; this role will be a hands-on strategic leadership role overseeing all financial reporting and control matters for the UK and EMEA. In this role, you will ensure compliance with all legal and reporting requirements. The successful candidate will be a key member of the UK senior leadership team, contributing to the development and success of the Thrive business in the UK and globally. You will work cross-functionally with a variety of internal and external stakeholders and build and maintain strong business relationships. You possess a positive, can-do attitude with high drive.
Primary Responsibilities
Financial Team
Lead and develop the UK finance team which is hybrid home/office based in both the UK and US
Key member of the global finance team, serving as a strategic Finance Business Partner for UK senior leadership providing regular financial performance reports, contributing to development of strategy, supporting the overall development of the UK business
Partner closely with the UK Sr. People Business Partner on employment legislation and payroll matters as needed
Financial reporting and controls
Preparation of monthly group reporting pack including analysis of KPIs, trends and variances
Oversee preparation of annual financial statements for UK operating company and consolidated financial statements for UK holding company ensuring all filing requirements and deadlines are met
Ensure the company’s financial management systems and procedures continue to be fit for the needs of the business
Maintain and develop internal financial controls to ensure integrity of financial reporting and protection of company assets
Prepare ad-hoc analysis as required
Forecasting and budgeting
Preparation of periodic financial forecasts for UK operations
Contribute to annual group budgeting process
Cash management
Produce weekly 13-week cash flow forecast for submission to Group Finance
Manage cash flow to ensure the UK operation has sufficient liquid resources to meet all obligations
Review and approve vendor and other payments
Arrange FX to ensure any exposures are adequately hedged
Oversee credit control and provide support in recovering any overdue debts including liaison with Account Management and Customer Service Management Teams
Audit
Oversee annual audit of financial records and financial statements for UK companies
Be the main point of contact for the auditors - agree with the audit plan and ensure audit information is collated and provided in a timely manner
Tax compliance
Working with the company’s tax advisors, ensure the preparation and submission of annual Corporation Tax computations
Calculate and arrange payment of Quarterly CT Instalment Payments
Oversee submission of quarterly VAT returns and ensure accuracy and timely payments
Ensure the company’s operations are organized in the most tax effective manner
Be the in-house expert on all taxation matters to advise colleagues as appropriate
Payroll
Working with the company’s people team and payroll resources ensure that monthly payrolls in UK and Europe are completed accurately and on time
Provide variable pay elements for payroll including commission, bonuses and on-call payments
Ensure all taxable benefits are properly identified and recorded
Oversee submission of annual P11D, PSA Employment Related Securities returns and ensure payments due are made on time
Professional advisors, banks and insurers
Build and maintain relationships with professional advisors including auditors, tax advisors, financial reporting accountants, insurance brokers, people team and payroll providers, employment benefit providers (e.g. pension, death in service, health insurance), UK legal advisors (commercial and people-team), finance software providers, business rates advisors
Working with insurance brokers ensure annual insurance covers are appropriate in place where required
Build professional network outside of current providers
Commercial
Provide support to colleagues with respect to contractual arrangements (e.g. NDAs, customer and vendor contracts)
Where required, build relationships with counterparts at key customers and vendors
Other compliance responsibilities
Ensure all statutory returns are completed and returned (e.g. Companies House Annual returns, Office for National Statistics returns)
Deal with HMRC regarding any enquiries or reviews (e.g. VAT, payroll taxes)
Technical knowledge
Keep abreast of technical developments in such areas as accounting, tax and employment law
Ensure team continues to improve technical knowledge as appropriate
Qualifications
Qualified accountant in the UK with over 5 years’ experience in a senior finance role within an international growth business
A deep knowledge of UK/EMEA financial reporting requirements. Demonstrated mastery in supporting a dynamic and global organization with a solid experience in the areas of:
Financial reporting and compliance within EMEA/UK
Financial modeling, analytical and decision-making skills
Experience of working in an IT MSP is highly desirable
Comfortable working at both a detailed and strategic level, able to think both operationally and strategically
Effective networker able to build relationships at all levels both within the group and outside
Comfortable working in a “matrix” organization with full and dotted line responsibilities working in multidisciplinary teams
Strong interpersonal and communication skills – both written and verbal.
Committed and demonstrated behaviors aligned to our core values (People, Customers, Attitude and Ownership)
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- Location:
- London, England, United Kingdom
- Job Type:
- FullTime
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