Join a world-renowned, multi-site international hotel group as our Group Financial Reporting & Treasury Manager. This is a high-impact role designed for someone ready to take the next step into leadership.
You’ll lead a growing team of three (Senior Treasury Analyst, Group Financial Accountant, and Finance Assistant) and take ownership of the Group’s financial reporting and treasury operations. Working closely with the Finance VP, you’ll play a key role in consolidating group financial statements, partnering with FP&A, managing corporate office accounting, and driving efficiency and process-improvement projects across the function.
You’ll also gain valuable exposure to cashflow management, funding, and tax compliance. The treasury element is well-suited to a commercially minded finance professional, as the long-term cashflow model directly influences strategic investment decisions across the business.
This is an exceptional opportunity for an ambitious, forward-thinking individual looking to grow into a future Finance VP role. If you’re ready to expand your leadership experience within a prestigious global brand, we’d love to hear from you.
Key Responsibilities - Manage Group financial consolidation, statutory accounts, and external audit for all UK entities.
- Oversee financial controls and balance sheet reconciliations.
- Own and maintain the Group financial model, providing long-term cash flow forecasts and lender covenant reporting.
- Direct day-to-day treasury operations, ensuring efficient cash flow and resource management.
- Ensure full UK tax compliance (corporate tax, VAT), coordinating with external advisors; support overseas tax matters as needed.
- Prepare Board, Committee, and Executive reports.
- Lead cost reporting and budgeting for corporate departments, partnering with executives.
- Maintain and update the Group’s Financial Controls Manual.
- Collaborate with Hotel Finance teams to enhance reporting and process best practices.
- Contribute to cross-functional and strategic business projects alongside the CFO and VP of Finance.
About You - Qualified accountant (ACA/ACCA/CIMA)
- Strong IFRS knowledge (incl. IFRS 16), group consolidation, and audit background
- Experience with multi-currency reporting, cash management, and tax compliance
- Proven leadership ability and confident in engaging senior stakeholders
- Experience using Blackline is an advantage
We will be reviewing CVs throughout the process so please apply as soon as you are able to.