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DD Group is seeking an ambitious and commercially minded Group Financial Controller to join our Senior Finance Leadership team during an exciting phase of growth and transformation. This is a high-impact role for a technically strong finance professional who thrives in a fast-paced environment and enjoys partnering with senior stakeholders to drive performance, controls, and strategic initiatives across a complex group structure. We are particularly keen to hear from candidates with experience working in a Private Equity-backed business. Exposure to the pace, reporting requirements, investor expectations, and commercial focus of a PE environment will be highly advantageous and is considered a strong differentiator for this role. This opportunity would suit someone looking to step into a broad and influential position with significant visibility across the organisation, including exposure to M&A activity, lender reporting, treasury management, and strategic finance projects.
Job Responsibility
Lead the preparation and accuracy of monthly consolidated group accounts
Deputise for the Group CFO where required
Oversee treasury management, cashflow forecasting, working capital, and banking relationships
Ensure compliance with accounting standards, statutory reporting, HMRC requirements, and regulatory obligations
Manage external audit processes and relationships with advisors, banks, and HMRC
Support M&A activity including due diligence, completion accounts, and post-acquisition integration
Drive continuous improvement in controls, reporting processes, and financial governance
Lead and mentor a high-performing finance team
Deliver lender and stakeholder reporting on a monthly and quarterly basis
Support the ongoing development of group reporting systems and data capabilities
Requirements
ACA / ACCA / equivalent qualified accountant
Strong technical accounting knowledge and consolidation experience
Experience operating within a complex multi-entity group structure
Excellent communication and stakeholder management skills
Strong analytical skills with high attention to detail
Ability to balance strategic thinking with hands-on delivery
Advanced Excel capability
Qualified by experience
Nice to have
Previous experience within a Private Equity-backed business
Exposure to PE reporting cycles, lender reporting, and investor-focused environments
Experience supporting acquisitions, integrations, or business transformation initiatives
Knowledge of treasury, international tax, customs, commodities, and duty regulations
Experience with Cognos/TM1 or similar reporting tools