Group Financial Controller

Rutherford Cross
Published
September 1, 2026
Location
Bellshill, Glasgow, United Kingdom
Category
Default  
Job Type
Region
- Glasgow
Sector
Industry and Commerce
Specialism
Commercial Finance, Financial and Statutory Accounting
Salary Guide
Up to £80,000 depending on experience.

Description

Our client an established and rapidly growing organization, specialising in infrastructure and energy solutions and delivering innovative projects that support the transition to sustainable, low-carbon networks.

With extensive experience and a strong track record of successful project delivery, the business has become a recognised leader within the sector. To strengthen their existing finance team they have a newly created opportunity for an experienced Group Financial Controller.

The Group Financial Controller is a senior finance leadership role responsible for maintaining a robust financial control environment across the Group. Reporting to the CFO, the role owns the accuracy, integrity and timeliness of financial accounting, statutory reporting, audit delivery, consolidations, tax compliance, treasury management and covenant reporting. The role also supports the CFO on budgeting, forecasting, acquisition due diligence, integration activity and balance sheet governance, while leading and developing the Finance Manager, Project Accountant and wider finance team.

Key Responsibilities

  • Lead financial accounting and reporting across the Group, ensuring accurate, timely, and compliant financial information.
  • Own the month-end close process, including reconciliations, journals, accruals, prepayments, and management reporting.
  • Oversee statutory accounts preparation, group consolidations, and compliance with accounting standards, including FRS 102 updates.
  • Manage external audits and relationships with auditors, banks, insurers, tax advisers, and other professional partners.
  • Ensure compliance with VAT, CIS, corporation tax, payroll, and other regulatory reporting requirements.
  • Lead treasury and cash management activities, including forecasting, liquidity monitoring, and covenant reporting.
  • Support acquisitions, due diligence, and post-acquisition integration activities.
  • Develop, coach, and mentor the finance team, driving high performance and accountability.
  • Drive continuous improvement through systems enhancement, automation, and AI-enabled efficiencies.
  • Partner with the CFO and senior leadership team to support budgeting, forecasting, strategic decision-making, and business performance reporting.

Key Skills & Experience

  • Strong technical accounting, statutory reporting, audit, and consolidation expertise.
  • Excellent financial control, analytical, and problem-solving skills.
  • Commercially minded, with the ability to translate financial data into actionable business insight.
  • Proven people leadership and team development experience.
  • Strong stakeholder management skills, including experience working with senior leaders and external advisers.
  • Ability to manage multiple priorities and deadlines in a fast-paced environment.
  • Passion for continuous improvement, process optimisation, and leveraging technology to enhance finance operations.

Qualifications & Competencies

  • Qualified accountant (ACA, ACCA, CIMA, or equivalent).
  • Extensive experience in financial reporting, audit management, statutory accounts, and group consolidations.
  • Strong understanding of FRS 102 and UK tax compliance requirements.
  • Experience within a multi-entity, project-based environment, ideally infrastructure, construction, engineering, energy, or related sectors.
  • Proven track record of leading month-end close and producing high-quality financial reporting.
  • Experience managing treasury, cash flow forecasting, payroll oversight, and working capital reporting.
  • Advanced Excel and financial systems skills; experience with Microsoft Dynamics 365 or similar ERP systems is desirable.
  • Strong communication skills with the credibility to work closely with executive leadership and support strategic decision-making.

If you have any questions regarding this post, please contact Donna Galbraith at Rutherford Cross - [email protected]

Apply
Drop files here browse files ...

Related Jobs

Interim Senior Finance Manager   Edinburgh, United Kingdom new
August 31, 2026
Senior FP&A Manager   Linlithgow, United Kingdom new
August 28, 2026
Interim Systems Accountant   Edinburgh, United Kingdom new
August 26, 2026
Compliance Manager - 14-month FTC   East Kilbride, United Kingdom
August 24, 2026
Operations Accountant (12-15 month FTC)   Renfrewshire, United Kingdom
August 24, 2026
Are you sure you want to delete this file?
/