Financial Controller

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A private equity-backed professional services group is looking for a Financial Controller to partner closely with senior leadership and drive high-quality financial insight across the business. This role is ideal for someone who enjoys working in a fast-evolving environment and can bring structure, clarity, and direction to developing processes while supporting ongoing growth.

Key Responsibilities

  • Prepare accurate and timely monthly management accounts, including P&L, balance sheet, cash flow, KPI reporting, and insightful variance analysis and commentary
  • Take ownership of group reporting requirements, ensuring all monthly submissions and ad hoc requests are delivered accurately and on time
  • Partner with the leadership team to provide clear, actionable financial insight that supports strategic and operational decision-making
  • Work closely with operational managers to enhance KPI reporting, drive performance, and improve accountability across the business
  • Oversee the preparation of year-end statutory financial statements and support external audit requirements
  • Lead the annual budgeting and business planning cycles, including regular reforecasting and performance tracking
  • Provide commercial input on the financial impact of strategic initiatives, investments, and change projects
  • Oversee day-to-day finance operations, including reconciliations, expenses, VAT, payables, and receivables
  • Collaborate with central FP&A to ensure alignment of reporting, analysis, and strategic objectives
  • Strengthen financial systems, controls, and processes to improve efficiency, scalability, and quality of information
  • Monitor and control costs to ensure alignment with budgets and wider business objectives
  • Support financial integration, reporting, and controls in relation to acquisitions and other corporate activity

Skills, Knowledge & Experience

  • Qualified accountant (ACA, ACCA, or CIMA) with at least 2 years’ post-qualified experience
  • Experience within a fast-paced, PE-backed or growing businesses is highly desirable
  • Background in professional services or similar industry is desirable
  • Strong FP&A skills, with a track record of turning data into clear, practical insight
  • Advanced Excel capability and high levels of systems literacy
  • Excellent communication skills, with the ability to build strong relationships across both finance and non-finance teams
  • Continuous improvement mindset, with a proactive approach to problem-solving and process enhancement
  • Experience with data visualisation and reporting tools (e.g. Power BI) is an advantage

#J-18808-Ljbffr”, “datePosted”: “2026-05-17”, “hiringOrganization”: { “@type”: “Organization”, “name”: “Forge Talent”, “sameAs”: “https://uk.whatjobs.com/pub_api__cpl__435489808__4861?utm_campaign=publisher&utm_medium=api&utm_source=4861&geoID=819” }, “jobLocation”: { “@type”: “Place”, “address”: { “@type”: “PostalAddress”, “addressLocality”: “Stoke on Trent” } } }
Company: Forge Talent
Apply for the Financial Controller
Location: Stoke on Trent
Job Description:

A private equity-backed professional services group is looking for a Financial Controller to partner closely with senior leadership and drive high-quality financial insight across the business. This role is ideal for someone who enjoys working in a fast-evolving environment and can bring structure, clarity, and direction to developing processes while supporting ongoing growth.

Key Responsibilities

  • Prepare accurate and timely monthly management accounts, including P&L, balance sheet, cash flow, KPI reporting, and insightful variance analysis and commentary
  • Take ownership of group reporting requirements, ensuring all monthly submissions and ad hoc requests are delivered accurately and on time
  • Partner with the leadership team to provide clear, actionable financial insight that supports strategic and operational decision-making
  • Work closely with operational managers to enhance KPI reporting, drive performance, and improve accountability across the business
  • Oversee the preparation of year-end statutory financial statements and support external audit requirements
  • Lead the annual budgeting and business planning cycles, including regular reforecasting and performance tracking
  • Provide commercial input on the financial impact of strategic initiatives, investments, and change projects
  • Oversee day-to-day finance operations, including reconciliations, expenses, VAT, payables, and receivables
  • Collaborate with central FP&A to ensure alignment of reporting, analysis, and strategic objectives
  • Strengthen financial systems, controls, and processes to improve efficiency, scalability, and quality of information
  • Monitor and control costs to ensure alignment with budgets and wider business objectives
  • Support financial integration, reporting, and controls in relation to acquisitions and other corporate activity

Skills, Knowledge & Experience

  • Qualified accountant (ACA, ACCA, or CIMA) with at least 2 years’ post-qualified experience
  • Experience within a fast-paced, PE-backed or growing businesses is highly desirable
  • Background in professional services or similar industry is desirable
  • Strong FP&A skills, with a track record of turning data into clear, practical insight
  • Advanced Excel capability and high levels of systems literacy
  • Excellent communication skills, with the ability to build strong relationships across both finance and non-finance teams
  • Continuous improvement mindset, with a proactive approach to problem-solving and process enhancement
  • Experience with data visualisation and reporting tools (e.g. Power BI) is an advantage

#J-18808-Ljbffr…

Posted: May 17th, 2026