Negotiable
Undetermined
Undetermined
London, UK
Summary: The role of Interim Financial Consultant involves managing cashflow forecasts and reporting for a fast-scaling technology platform undergoing a financial transformation. The consultant will drive process improvements and serve as the primary source of cashflow insights for the business. This position requires strong stakeholder management and communication skills, along with a focus on operational excellence. The role is based in London and offers a competitive daily rate.
Key Responsibilities:
- Owning daily, weekly, monthly, and rolling 13-week cashflow forecasts
- Developing insightful cashflow reporting packs for senior leadership and the Board.
- Driving process improvement, automation, and integration with core finance systems.
- Acting as the single point of truth for cashflow insight across the business.
Key Skills:
- Qualified accountant
- Strong experience in cashflow forecasting, liquidity management, and cash reporting
- Proven ability to build cashflow models
- Excellent stakeholder management and communication skills.
- Experience with finance transformation programmes and core finance systems is desirable.
- A pragmatic, delivery-focused mindset and the ability to operate hands-on in a changing environment.
Salary (Rate): £650 daily
City: London
Country: UK
Working Arrangements: undetermined
IR35 Status: undetermined
Seniority Level: undetermined
Industry: Other
Interim Financial Consultant - London - c. £650/day
Your new company
A fast-scaling technology platform and managed services provider supporting clients globally. Operating in a dynamic, regulated environment, the business is undergoing a huge financial transformation project. The culture is collaborative, fast-paced, and focused on operational excellence.
Your new role
Key responsibilities include:
- Owning daily, weekly, monthly, and rolling 13-week cashflow forecasts
- Developing insightful cashflow reporting packs for senior leadership and the Board.
- Driving process improvement, automation, and integration with core finance systems.
- Acting as the single point of truth for cashflow insight across the business.
What you'll need to succeed
- Qualified accountant
- Strong experience in cashflow forecasting, liquidity management, and cash reporting
- Proven ability to build cashflow models
- Excellent stakeholder management and communication skills.
- Experience with finance transformation programmes and core finance systems is desirable.
- A pragmatic, delivery-focused mindset and the ability to operate hands-on in a changing environment.
What you need to do now
If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.
If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career.
#