VNI Finance is delighted to bring to market a newly created Finance Business Partner with our client in Glasgow.
The role has been created to work closely with the Managing Director, with a focus on stock control, cash management, and with the aim of bringing finance closer to the wider business.
This would suit a commercially minded individual who is keen to be part of a larger international group, who enjoys working across non-finance stakeholders.
Role Overview:
- Prepare and analyse monthly, quarterly, and annual financial reports in collaboration with the accounting team.
- Manage liquidity, working capital, currency exchange and treasury operations to support business needs.
- Lead the budgeting process and financial forecasting, providing analysis and insight to support business strategy.
- Conduct variance analyses, budget vs. actual dashboard comparisons, and ad-hoc financial analyses.
- Provide financial insight and performance analysis to senior leadership to drive operational and strategic decisions.
- Support operational management with relevant performance insights and KPIs
- Collaborate closely with business departments (e.g. Trading, Production, Logistics, Procurement) to identify and drive performance improvements.
Candidate Background:
- 3–5 years of relevant professional experience in financial controlling, ideally in a manufacturing or international (multi-currency) trading environment.
- Strong understanding of operational/trading processes and their financial implications.
- Solid experience with ERP, BI tools and finance systems (e.g. Sage) and advanced Excel skills.
- Proactive, analytical mindset with a hands-on approach and strong implementation skills.
- Strong communication skills and a collaborative, business-oriented attitude
Package:
- £50,000-£58,000
- Flexible working
- 1:30pm finish on a Friday
- 9% Company pension contribution
- 35 days annual leave
For more information, please get in touch with John Ramsay at VNI Finance- (url removed)