Group Finance Controller jobs in London – Browse 1,145 openings on RoboApply Jobs

Group Finance Controller jobs in London

Open roles matching “Group Finance Controller” with location signals for London. 1,145 active listings on RoboApply Jobs.

1,145 jobs found

1 - 20 of 1,145 Jobs
Apply
companyTrustly logo
Full-time|On-site|London, United Kingdom

Join Trustly as a Group Finance Controller and play a pivotal role in our financial strategy. In this key position, you will oversee our financial operations, ensuring the accuracy and integrity of our financial reporting and compliance.

Mar 18, 2026
Apply
company
Full-time|On-site|London

Join light-inc as our new Group Controller, where you will play a pivotal role in driving financial excellence across our organization. As a key member of our leadership team, you will oversee financial planning, reporting, and analysis, ensuring that our financial strategies align with our overall business objectives. Your expertise will guide our financial performance, providing valuable insights to support decision-making at the highest levels.

Mar 23, 2026
Apply
companyANNA Money logo
Full-time|On-site|London, England, United Kingdom

Join ANNA, a dynamic fintech company at a pivotal moment in our journey. We empower small businesses to take charge of their financial health through innovative banking and accounting solutions. As we work towards securing our FCA Electronic Money Institution (EMI) authorization, we are poised for significant growth.Our vision is to transform ANNA into the quintessential operational partner for small businesses — an AI-powered ally capable of engaging in meaningful conversations with business owners and managing essential operational tasks such as:Payment processing and corporate card managementExpense tracking and invoicingBookkeeping and accounting servicesTax preparation and filings (including VAT, corporation tax, and income tax for sole traders)Companies House submissionsPayroll and staff administrationOperational support, including customer communication and sales assistanceThe RoleWe are seeking an accomplished Group Financial Controller to lead our financial control environment. Reporting directly to the Group CFO, this senior leadership position is integral to our agile, high-performing finance team.The ideal candidate will combine the credibility of an experienced financial services professional with a proactive, hands-on approach. Our small, efficient team collaborates at all levels, contributing to both the design and execution of processes while continuously seeking smarter operational solutions.This role offers a unique chance to influence the future of our company. You will be instrumental in establishing the financial control framework, compliance protocols, and regulatory infrastructure that will support ANNA as a fully authorized EMI.As a technology-driven organization, we expect our finance team to embrace innovation. You will utilize modern tools and AI to enhance efficiency, automate processes where feasible, and consistently elevate the performance of our lean finance function.

Mar 27, 2026
Apply
companyUnily logo
Full-time|On-site|London, United Kingdom

Unily seeks a Group Financial Controller to join its London team. Reporting directly to the CFO, this role plays a key part in delivering accurate and timely financial reporting for the business. The position blends hands-on financial management with strategic duties, including involvement in investor relations and reporting. The company operates as a private equity-backed SaaS business, so experience in similar environments will be valuable. Financial Operations and Reporting Lead the month-end close process, ensuring financial results are both timely and accurate. Maintain compliance with GAAP and IFRS standards in all reporting activities. Oversee revenue recognition, adhering to FRS102 and IFRS 15 requirements. Role Focus This position requires a balance of operational financial management and strategic input. The Group Financial Controller will work closely with the CFO and contribute to investor relations, supporting the business’s growth and compliance needs.

Apr 23, 2026
Apply
companyThe LaLiT London logo
Finance Controller

The LaLiT London

Full-time|On-site|London

Provide expert financial advice and support in developing and executing the Strategic Plan, Budget, and Key Performance Objectives (KPOs).Maintain an accurate cash flow projection, optimizing the hotel's cash flow performance through effective management of inventory, credit collections, disbursements, deposits, and remittances.Oversee the management of excess cash to enhance earning potential.Prepare monthly financial outlooks and forecasts for the upcoming months and the remainder of the year.Analyze actual performance against budget on a monthly basis, offering recommendations to the Executive Committee to achieve budgetary targets.Compile consolidated quarterly assessments for the General Manager.Circulate up-to-date outlook and forecast information as a management tool for operational departments.Establish and review financial controls and policies to ensure compliance.Evaluate financial and management reports to drive decision-making.Develop internal reporting systems tailored to departmental and hotel needs.Review existing internal control measures related to accounting procedures and systems in accordance with Policies and Procedures.Implement adequate internal control procedures to ensure proper authorization in payment processes.Manage internal and external audits effectively.Assist Management with administrative tasks related to policy enforcement, business advice, and operational support.Identify training needs, formulate training plans, and conduct training sessions for accounting and operational staff in collaboration with other departments.Recognize potential candidates for promotion and/or transfer within the accounting operation.Consult with legal experts on hotel business practices, remaining informed about local laws and regulations.Ensure the secure storage and accessibility of all contracts, leases, and financial records.Monitor all capital expenditures to verify compliance with original justifications and approvals.Engage with local professional and industry organizations to enhance networking opportunities.Propose and maintain an appropriate delegation of authority list for hotel management.Conduct monthly inspections and audits to ensure departmental adherence to required procedures.Carry out responsibilities outlined in the controls checklist issued by the CFO.Review pricing strategies and recommend adjustments to the General Manager.Ensure the implementation of sound accounting practices and procedures, adhering to local conditions and generally accepted accounting principles.

Jan 8, 2019
Apply
companyAlphaSights logo
Full-time|On-site|London

Stardate: March 2026 About AlphaSights At AlphaSights, our mission is to unlock human knowledge and drive progress. Operating from our cutting-edge offices in nine major cities worldwide, we facilitate connections between business leaders seeking insights and the experts who possess that knowledge. With a diverse workforce of over 1,800 colleagues from more than 60 nationalities, we are one of the fastest-growing global companies. What We Do We sit at the core of the global knowledge economy, offering a comprehensive suite of knowledge-on-demand services tailored for investment funds, consultancies, Fortune 500 companies, and nonprofits. Our clients rely on us to provide critical insights that inform their most significant business and investment decisions, connecting them with industry experts who possess actionable knowledge not readily available elsewhere. In a fast-paced environment, we pride ourselves on our client-centric approach, responding to inquiries within minutes and delivering insights within hours. When time is of the essence, our clients trust us to provide the detailed information they need. The Team The Finance team at AlphaSights is a dynamic, global function responsible for planning, accounting, and controlling, thus enabling our rapid business growth. The team is divided into various subteams, including Accounts Payable, Billing & Receivables, Commercial Finance, Group Accounting, FP&A, Treasury, and Tax, who collaborate closely to support our offices from Tokyo to San Francisco. The Role Responsibilities Assist in the preparation of monthly group management accounts, including the consolidation of multiple overseas trading entities. Review detailed balance sheet reconciliations prepared by the accounting team each month to ensure quality and accuracy. Prepare central reconciliations for complex accounting areas such as revenue recognition of supplier-customer contracts and the capitalization of software development costs. Maintain the Finance ledger system (currently Workday Financials), including security and business process administration tasks, with appropriate training provided. Prepare the statutory financial statements for primary UK entities using Caseware software. Support deliverables for UK and overseas entities by collaborating effectively with various stakeholders.

Jan 15, 2026
Apply
companyWolf & Badger logo
Full-time|Hybrid|London, England, United Kingdom

Wolf & Badger connects independent designers with shoppers who value ethical sourcing. The company offers fashion, design, home, and beauty products through its online marketplace and flagship stores in London, New York City, and Los Angeles. As a Certified B Corporation, Wolf & Badger centers social and environmental responsibility in its business model. With a team of about 100 people in the UK and US, Wolf & Badger is expanding. The London finance team is growing to support this next phase. Role overview The Senior Finance Manager / Financial Controller will join the e-commerce marketplace team in London. This role works closely with the CFO, focusing on financial planning, reporting, and analysis. The position is responsible for maintaining strong financial controls and delivering strategic insights to guide business decisions and growth. What you will do Lead financial planning and analysis work Oversee financial reporting and ensure accuracy Maintain and improve financial controls Provide clear, actionable financial insights to both finance and non-finance teams Collaborate closely with the CFO and work across departments Requirements Strong understanding of finance and accounting principles Solid analytical and managerial abilities Clear communication of complex financial information Experience supporting business growth in a comparable setting Location and working pattern This position is based in Central London. The team follows a hybrid schedule, with at least three days per week in the Soho office. Candidates should be able to commute to the office.

Apr 24, 2026
Apply
companyTrustpilot logo
Full-time|On-site|London

At Trustpilot, we are on an exciting journey of growth and innovation. As a profitable, high-growth FTSE-250 company, our vision is to become the universal symbol of trust. We operate the world’s largest independent consumer review platform, and while we have achieved much, the journey ahead is filled with exciting opportunities. Join us at the heart of trust!In this pivotal role reporting to the Head of Group Reporting, you will take charge of the Group's ESG reporting and play an integral role in the preparation of the Group's financial reporting and analysis. Your responsibilities will span various functions, necessitating strong organizational skills and the flexibility to adapt to shifting business needs. If you are motivated to contribute to our mission and possess the required skills, this is the opportunity for you!This position offers a dynamic and intellectually engaging environment, providing an exceptional chance to be part of a growing and innovative international Finance team.

Feb 25, 2026
Apply
companyWPP Media logo
Full-time|On-site|London, United Kingdom

We are seeking a detail-oriented and analytical Revenue Controller to join our dynamic team at WPP Media. In this pivotal role, you will be responsible for managing revenue operations, ensuring accuracy in financial reporting, and providing valuable insights to support our financial strategies. The ideal candidate will have a strong background in finance and accounting, with a passion for optimizing revenue processes.

Apr 1, 2026
Apply
companyAccor Group logo
Finance Manager

Accor Group

Full-time|On-site|London

Role Overview Accor Group is hiring a Finance Manager in London. This role leads financial operations and supports the company’s growth and efficiency goals. Main Responsibilities Oversee day-to-day financial operations Prepare financial reports for internal and external stakeholders Ensure compliance with financial regulations and company policies Work with teams across the business to improve financial performance Support decision-making by providing clear financial analysis Collaboration This position partners with cross-functional teams to optimize results and deliver accurate financial insights.

Apr 17, 2026
Apply
companyJellyfish logo
Temporary|On-site|London

About Jellyfish Jellyfish is a global digital marketing agency based in London. Our teams bring together technology, creativity, media, and data expertise to help clients navigate their digital growth. We value diverse perspectives and believe that collaboration across backgrounds drives better outcomes for both our clients and our people. Role Overview The Junior Credit Controller joins the Finance department, reporting to the Senior Credit Control Manager. This is a full-time, six-month fixed-term contract. The role is part of the Accounts Receivable team and manages a portfolio of client accounts, focusing on timely debt collection and account maintenance. The position offers hands-on experience with international clients, structured training, and regular one-on-one development sessions. What You Will Do Manage a portfolio of customer accounts, following up on overdue invoices in line with agreed payment terms. Maintain and update the accounts receivable ledger with accuracy. Respond to customer queries and resolve disputes, maintaining strong client relationships. Reconcile customer accounts and resolve discrepancies as they arise. Support credit checks and assist with customer risk assessments. Work closely with internal teams to resolve billing issues, support audit requirements, and contribute to financial reporting and process improvements. Qualifications and Skills 1 to 2 years of experience in credit control or a related finance role. Strong communication and negotiation skills, with confidence handling challenging conversations. Proficiency with financial software and the Microsoft Office Suite.

Apr 22, 2026
Apply
companygoodstack logo
Full-time|On-site|🇬🇧 London, UK

About the Role goodstack is looking for a Financial Controller based in London, UK. This role leads core finance functions, managing financial reporting, budgeting, and forecasting. The Financial Controller ensures all reports are accurate and comply with relevant regulations. What You Will Do Oversee preparation of financial statements and reports Manage budgeting and forecasting cycles Ensure compliance with regulatory standards Support financial planning and guide business decisions Location This position is based in London, UK.

Apr 21, 2026
Apply
companyairapps logo
Full-time|On-site|London Metropolitain Area

Role Overview airapps is hiring a Financial Controller based in the London Metropolitan Area. This position manages financial operations and sets the direction for financial strategy. The Financial Controller takes responsibility for financial reporting, budgeting, and compliance, making sure processes align with the company’s growth plans. What You Will Do Oversee preparation of financial reports and statements Lead budgeting processes and monitor financial performance Ensure compliance with relevant regulations and standards Work with teams across the company to analyze results and offer guidance Support decision-making for technology initiatives with financial insights Collaboration This role works closely with other departments to provide clear analysis and recommendations, helping airapps deliver on its technology goals.

Apr 16, 2026
Apply
companyKerv logo
Full-time|On-site|London

About the Role: As the Director of Finance Operations at Kerv, you will spearhead our Billing, Credit Control, and Accounts Payable teams within a rapidly evolving technology environment. Your leadership will ensure the precise and prompt issuance of invoices, effective cash collection, and streamlined supplier payment processes. Collaborating with our transformation team, you will design and implement innovative global finance practices across our organization. The ideal candidate will possess a strong background in guiding teams through substantial operational changes, particularly during our current practice migrations. Your strategic vision will be crucial for successfully transitioning from manual and fragmented processes to automated, scalable, and standardized workflows. This senior role, reporting directly to the Group Financial Controller, will position you as a role model for your team and a vital point of contact within the company. Your Responsibilities: Operational Finance Leadership: Evaluate and optimize existing operational finance processes (Billing, Credit Control, Accounts Payable), creating a roadmap for transformation that emphasizes automation and efficiency. Collaborate with the transformation team to execute improvements, implement new systems, and establish global, scalable processes. Lead and mentor teams across Billing, Credit Control, and Accounts Payable. Billing & Credit Control Duties: Oversee the complete billing and cash collection cycle, ensuring accuracy and compliance. Work closely with divisional account managers to facilitate timely billing and effective post-billing collections, aligning with stakeholder expectations. Guarantee timely monthly billing to support an expedited month-end close. Manage cash collections and integrate them into short-term cash flow forecasts. Develop policies, processes, and documentation for billing and credit control. Monitor WIP levels to ensure timely billing of projects. Serve as the primary contact for audits related to billing and credit control. Encourage a culture of continuous improvement and implement best practices.

Mar 31, 2026
Apply
companyVisionFR Limited logo
Full-time|On-site|East London

Job Title:Finance ManagerCompany: Design/ RetailReports to: CEO and InvestorsLocation: ShoreditchEmployment Type: Full-time (Part-time options considered based on experience)Join a prestigious British brand as a Finance Manager and play a pivotal role in steering the financial operations while also contributing to HR functions. This role is ideal for an experienced Finance Manager, Financial Controller, or Head of Finance eager to make a significant impact in a dynamic, hands-on studio environment that embodies a start-up ethos. You will collaborate with senior stakeholders, enhancing your commercial acumen and gaining invaluable experience.You will receive support from the CEO and external investors, allowing you to thrive in this multifaceted position.Key Responsibilities:Lead the finance department, ensuring robust financial management and control of company resources.Oversee company financials, including sales, expenses, cash flow, payroll, and accounting using the XERO platform.Manage VAT returns, EC Sales Lists, and communicate with HMRC.Guide and implement efficiency-driven improvements across departments and the business structure.Design, implement, and manage departmental budgets and performance reporting.Monitor sales and expenditures, reporting to Directors on profit and loss, as well as the balance sheet.Conduct weekly analyses and monthly reports on company performance, financials, and ROI to the directors.Manage the payroll process effectively.Handle general business administration tasks based on requirements.Oversee cash flow management, loans, investments, and currency accounts.Develop and implement cross-department strategies, systems, and cloud-based software for improved reporting and efficiency.Create financial and management systems for the company’s international offices and showrooms.Key HR Responsibilities:Administer existing staff HR accounts and manage onboarding for new employees.

Jun 24, 2019
Apply
companyWise logo
Full-time|On-site|London

Wise is seeking a dynamic Associate Controller to join our finance team, focusing on the UK and Middle East & Africa (MEA) regions. In this pivotal role, you will support the financial management and reporting processes, ensuring compliance and efficiency across our operations.Your expertise will help us drive financial strategy, optimize processes, and manage financial reporting effectively, contributing to Wise's mission to make money transfer simple and transparent.

Apr 10, 2026
Apply
companyCognism logo
Full-time|On-site|London

Join Cognism as an Assistant Controller and play a vital role in supporting our financial operations. In this dynamic position, you will assist in the management of financial reporting, compliance, and internal controls, ensuring our financial integrity and operational efficiency.

Apr 2, 2026
Apply
companyAccorHotels logo
Full-time|On-site|London

We are seeking a dynamic and detail-oriented Financial Controller to join our prestigious team at The Savoy Hotel, part of AccorHotels. This role is crucial in overseeing all financial operations and ensuring the accuracy of financial reporting while adhering to corporate policies and procedures. As a key member of our management team, you will play a vital role in strategic planning and financial forecasting.

Feb 5, 2026
Apply
companyFlora Food Group logo
Full-time|Hybrid|London, GB

Drive the strategy, channels, and partnerships that shape Flora's success in wholesale, cash & carry, and foodservice.Position: Route to Market & Wholesale Controller Location: Southwark, London, HybridAbout the RoleAs the Route to Market & Wholesale Controller, you will spearhead the strategy for our key growth channels: wholesale, cash & carry, and foodservice. Collaborating with senior leadership, you will guide a team to achieve outstanding commercial performance.You will be pivotal in our UK commercial transformation, managing the Route to Market & Wholesale strategy and optimizing performance across all essential channels. Your responsibilities will include annual planning, Joint Business Plans (JBPs), and forecasting, while delving into pricing strategies, margin analysis, promotional ROI, and customer P&Ls to translate insights into tangible actions.This role is hands-on and impactful, ideal for someone with a passion for commercial detail, robust FMCG and foodservice experience, and the ability to lead and influence rapidly.Key Responsibilities:Leadership in Route to Market & Wholesale Strategy

Apr 1, 2026
Apply
companyWPP Media logo
Full-time|On-site|London, United Kingdom

About WPPWPP is the trusted growth partner for some of the world’s most renowned brands. We combine advanced media intelligence and data solutions, exceptional creativity, innovative production capabilities, transformative enterprise solutions, and expert strategic guidance within a single organization. Powered by outstanding talent and our dynamic marketing platform, WPP Open, we assist our clients in navigating change, seizing opportunities, and achieving transformational growth. For more details, visit WPP.com.Position: Risk and Controls Manager - Finance EMEA (Ref: 6705)About WPP MediaWPP Media, an integral part of WPP, represents WPP’s global media collective. In a landscape where media is omnipresent, we unite the best platforms, talent, and partners to create boundless growth opportunities. For further insights, visit wppmedia.com.At WPP Media, we champion a culture that values our people, enabling us to deliver exceptional experiences for our clients and each other. In this position, embodying WPP and WPP Media’s shared core values will be essential:Be Extraordinary by Leading Collectively to Inspire Transformational Creativity.Create an Open environment by Balancing People and Client Experiences through Cultivating Trust.Lead Optimistically by Championing Growth and Development to Mobilize the Enterprise.Role Summary and ImpactWe are seeking a dedicated Risk & Controls Manager to join our team. The successful candidate will be a vital member of the EMEA Risk & Controls team, reporting directly to the Associate Risk & Controls Director at WPP Media EMEA.Your primary responsibility will be to assist in both the implementation and monitoring of a robust local control framework that aligns with Group requirements while addressing a wide array of compliance activities. You will also support audits concerning coordination, issue discussions, and remediation. This role presents a dynamic environment with diverse priorities and numerous local and regional stakeholders.KEY DUTIES AND RESPONSIBILITIESFoster and support a culture of ethics and integrity throughout the organization.

Mar 12, 2026

Sign in to browse more jobs

Create account — see all 1,145 results

Tailoring 0 resumes

We'll move completed jobs to Ready to Apply automatically.