Provide clear, high‑quality financial insight to external stakeholders, producing reports and presentations that explain the Group’s historical and forecast performance.
Support shareholder and corporate finance activity (e.g. financing and capital structure), working with internal teams and external advisers to coordinate analysis and respond to information requests.
Lead the preparation of due diligence, analysis and materials for corporate activity, including assessment of financial performance, risk, governance and regulatory considerations.
Develop and maintain core financial and strategic analysis, including key metrics, trend analysis and competitive benchmarking to support decision‑making.
Review and constructively challenge budgets, forecasts and long‑range plans to ensure assumptions are robust, coherent and externally credible.
Requirements
Qualified accountant or with a strong corporate finance / commercial finance background, experienced in complex financial analysis and reporting.
Confident and credible with senior stakeholders and third parties, able to discuss performance, forecasts, assumptions and accounting judgements with authority.
Strong analytical and technical capability, paired with excellent attention to detail and the ability to navigate complex issues.
Commercially astute, with a track record of delivering insight‑led analysis that supports Exec and Board‑level decisions.
Resilient and organised, able to deliver high‑quality outputs to demanding deadlines, while constructively challenging and welcoming challenge in return.
Benefits
Flexible, hybrid working model
Inclusive culture and environment, check out our Glassdoor reviews
£1,000 flexible benefits allowance to suit your needs
30 days holiday + bank holidays
LinkedIn learning access
Bonus potential (performance and business-related)