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Experience Level
Experience
Qualifications
The ideal candidate will possess a degree in Finance, Accounting, or a related field, with a minimum of 5 years of experience in financial management. A professional certification such as CPA or ACCA is highly desirable. Strong analytical skills, attention to detail, and proficiency in financial software are essential for success in this role.
About the job
goodstack seeks a Financial Controller to join the team in London, UK. This position leads essential finance operations, with responsibility for accurate reporting and adherence to regulatory standards.
Key responsibilities
Oversee the preparation of financial statements and reports
Manage the budgeting and forecasting processes
Ensure compliance with all relevant financial regulations
Support financial planning and provide guidance for business decisions
Location
This role is based in London, UK.
About goodstack
goodstack is a forward-thinking company dedicated to innovation and excellence in the financial sector. Our team is composed of passionate professionals who work collaboratively to achieve our goals and deliver exceptional value to our clients.
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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.
goodstack seeks a Financial Controller to join the team in London, UK. This position leads essential finance operations, with responsibility for accurate reporting and adherence to regulatory standards. Key responsibilities Oversee the preparation of financial statements and reports Manage the budgeting and forecasting processes Ensure compliance with all relevant financial regulations Support financial planning and provide guidance for business decisions Location This role is based in London, UK.
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.
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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.
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Job Title:Financial ControllerAbout Our Agency Competitive Salary: £50,000 - £55,000 based on experience & qualificationsRole OverviewWe are an innovative, award-winning creative agency seeking a skilled Financial Controller. This newly established position arises from our internal restructuring and the relocation of our finance team to London.The Financial Controller will play a crucial role in overseeing all facets of financial and management accounting, ensuring robust financial control across our operations. This position includes accountability for the financial reporting of our London studio and requires collaboration with Senior Finance Managers from our group operations in New York and Singapore, as well as the consolidation of financial results for our business.Detailed ResponsibilitiesManage and oversee all financial aspects of the company.Prepare month-end management accounts, including P&L, Balance Sheet, cash flow, client and job profitability, time utilization, and recoverability analyses.Draft year-end accounts, ensuring all schedules are ready for audit and liaising with auditors effectively.Develop the first draft of the annual budget, incorporating year-on-year analyses.Maintain an in-depth understanding of all client jobs, proactively managing them to prevent unnecessary cost write-offs.Prepare job profitability analyses, collaborating with account managers to address variances and assist in the financial aspects of their roles and client relationships.Handle intercompany billing and reconcile intercompany balances.Ensure the accuracy of income forecasting.Monitor cash balances and perform regular cash flow forecasts.Continuously enhance the quality and output of financial reporting across the group.Implement systems and process improvements for increased operational efficiency.Advanced IT skills, particularly in Excel, are highly advantageous.Supervise two finance team members, ensuring high-quality output and ongoing skills development.Provide sound commercial advice to the Directors in the absence of the Global CFO.Ideal Candidate ProfileThe ideal candidate will possess a comprehensive understanding of finance function deliverables and be capable of leading a team effectively.
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Methods is a premier IT Services Consultancy with a turnover exceeding £100M, dedicated to transforming public sector operations in the UK through innovative technology solutions. With over 30 years of experience, our UK-based team excels in delivering comprehensive, people-centric business and technical solutions that emphasize safety and future-readiness.What sets us apart from other consultancies, system integrators, and software houses is our human touch. We prioritize people, technology, and data, striving to create sustainable value for our clients, employees, communities, and the planet.At Methods, we collaborate closely with our clients to ensure the success of their projects, sharing expertise and solving challenges together. Our culture encourages enjoyment in our work while embracing learning opportunities from our mistakes.While we primarily serve the public sector, we are currently expanding our client portfolio in the private sector.Methods became part of the Alten Group in early 2022.Job PurposeThe Project Financial Controller is instrumental in tracking, analyzing, and supporting the achievement of robust project margins across various customer initiatives within our technology and engineering consultancy. This role collaborates closely with Technical Project Managers to ensure that margin performance is accurately monitored and reported, enabling informed decision-making aligned with strategic objectives.The Project Financial Controller will also contribute to the transformation of internal Project Control processes, focusing on enhancing reporting automation and operational insights.Main ResponsibilitiesMonitor and report on project margin performance against established half-yearly targets, identifying potential risks and opportunities.Collaborate with Technical Project Managers to track and understand factors impacting margins (revenue, costs, financial progress).Analyze fluctuations in project margins, providing insights and recommendations for improved financial outcomes.Lead or assist in automating project margin reporting using tools such as Power BI, Excel, and Power Query.Create clear and insightful dashboards and reporting outputs to support decision-making at operational and leadership levels.Contribute to the ongoing improvement of project control processes, with a focus on simplification, consistency, and transparency.Become a key user of the internal project management tool utilized for margin performance calculations and presentations.Provide ad-hoc support to project teams and leadership concerning margin analysis, performance tracking, and reporting.
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Apr 16, 2026
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