£45,000 Per year
Fixed-Term
Hybrid
Glasgow, Scotland, United Kingdom
Summary: The Interim Finance Analyst role offers a 12-month fixed-term opportunity within a globally recognized brand, focusing on financial accounting and reporting. The position involves ensuring timely delivery of the finance calendar, preparing management accounts, and leading balance sheet reconciliations. The role supports a hybrid working model, allowing for a blend of office and remote work. Candidates should possess strong Excel skills and effective communication abilities to engage with stakeholders.
Key Responsibilities:
- Ensure the finance calendar is delivered on time, maintaining the accuracy and integrity of financial information
- Prepare and reconcile monthly management accounts (P&L) to the general ledger and consolidated balance sheet
- Lead monthly and annual global balance sheet reconciliations, including internal training sessions
- Identify and implement opportunities for process improvements
- Provide financial insights and ad hoc analysis to stakeholders across the business
Key Skills:
- Background in financial accounting, reporting, or internal controls
- Experience within budgeting
- Highly proficient in Excel
- Excellent analytical, planning, and organisational skills
- Strong communication skills for liaising with internal and external stakeholders
Salary (Rate): £45,000.00 yearly
City: Glasgow
Country: United Kingdom
Working Arrangements: hybrid
IR35 Status: fixed-term
Seniority Level: undetermined
Industry: Finance
Interim Finance Analyst (Hybrid) – Globally Recognised Brand
An exciting opportunity for an Interim Finance Analyst to join our client's team on a 12-month fixed-term basis has arisen. This role provides an opportunity to join a thriving team within this internationally recognised organisation, whose focus on continual development is evident at every level. Hybrid working is in place, with the current model being 3 days from the office and 2 days from home.
Reporting to the Finance Manager, key highlights of the role will include:
- Ensure the finance calendar is delivered on time, maintaining the accuracy and integrity of financial information
- Prepare and reconcile monthly management accounts (P&L) to the general ledger and consolidated balance sheet
- Lead monthly and annual global balance sheet reconciliations, including internal training sessions
- Identify and implement opportunities for process improvements
- Provide financial insights and ad hoc analysis to stakeholders across the business
About You:
You'll have an evident background in financial accounting, reporting, or internal controls and ideally have had experience within budgeting
Highly proficient in Excel with excellent analytical, planning, and organisational skills
Have great communication skills, be able to liaise with internal and external stakeholders
On offer:
Market-leading salary and benefits
On-site parking available
Next Steps:
If this job opportunity sounds appealing to you, please apply with your full CV. If you'd like any further information then please email pamela.mcculloch@hutcheonmearns.co.uk. Only candidates eligible to work in the UK will be considered as no sponsorship is available.