We are seeking an experienced Interim Finance Manager / FC to lead and manage key financial operations for a well known and hugely successful organisation near Retford. With hybrid working (2 or 3 days in the office) available as well as flexible hours, this role is integral in supporting the leadership team during a pivotal transition as the company moves towards a joint venture ownership model.
Key Responsibilities:
- Design and implement budgeting, forecasting, and financial reporting processes, including stress-testing and risk analysis.
- Lead day-to-day treasury management, with a focus on managing the 13-week cash flow.
- Partner with the Site Leadership and Department Leads to drive performance, control, and governance frameworks.
- Develop management and board reporting packages, and provide detailed financial analysis for various stakeholders.
- Support Board and Lender reporting, liquidity analysis, and covenant reporting.
- Oversee the transition to a new ownership model, ensuring smooth financial integration and reporting.
- Deputise for the Head of Finance across all financial, tax, and treasury activities.
Requirements:
- Proven experience in finance management
- Strong knowledge of financial control environments, budgeting, forecasting, and treasury management.
- Excellent communication skills, with the ability to engage with senior stakeholders and external partners.
This is a high-impact role with the potential to influence strategic decisions and business growth, there is potential for the role to become permanent, which the successful interim could be considered for if interested.