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This is an excellent opportunity to join the business during a period of ongoing development, as it continues to enhance its financial processes and operational effectiveness. The Finance Manager will take responsibility for the day-to-day financial operations within a multi-entity, multi-currency environment. This is a hands-on role with a strong emphasis on accuracy, control, and continuous improvement. Working closely with senior stakeholders, the successful candidate will act as a key liaison between internal teams and external finance support, ensuring a high standard of delivery. The role requires someone comfortable working in a dynamic, stakeholder-led environment, managing multiple priorities and bringing structure to finance processes.
Job Responsibility:
Overseeing day-to-day financial operations, including invoicing and reconciliations
Managing the invoicing cycle, focusing on accuracy, timeliness, and process efficiency
Supporting period-end processes, driving consistency and improved reporting timelines
Handling multi-currency transactions and related reconciliations
Assisting with revenue recognition across project-based work
Maintaining key control accounts and supporting internal allocations
Reviewing outputs from external providers, ensuring accuracy and resolving issues
Acting as a primary contact for third-party finance support, maintaining service quality
Supporting forecasting and cash flow activities, providing relevant financial insight
Assisting with internal profit allocation processes
Monitoring receivables and supporting improvements in collections
Identifying opportunities to streamline and automate finance processes
Enhancing internal reporting tools, including spreadsheet-based models
Supporting ongoing improvements to finance systems and processes
Providing financial insight to support business decision-making
Building effective working relationships with key stakeholders
Requirements:
Fully qualified Accountant (ACA/ACCA/CIMA or equivalent)
Experience within an SME or partnership environment, ideally an LLP structure
Strong technical grounding in financial control, revenue recognition, and multi-currency environments
Advanced Excel skills, including data modelling, automation, and scalable reporting solutions
Strong commercial awareness, including cash flow, forecasting, and partnership economics
A hands-on approach, comfortable managing transactional finance activities daily
Resilience and the ability to manage high volumes of work with competing priorities
A proactive mindset with a focus on process improvement and automation
Strong interpersonal skills, with confidence engaging senior stakeholders
What we offer:
Hybrid and flexible working arrangements
Opportunity to work within a highly experienced, international partnership