VP of Finance

🔒 Confidential Employer
Posted 23 April 2026
LOCATION
United Kingdom
TYPE
Full-time
LEVEL
Mid-Senior level
CATEGORY
Finance
This employer holds a UK Home Office sponsor license — sponsorship for this specific role is at the employer’s discretion

SKILLS

Controllership Group Reporting Financial Reporting Audit Treasury Management Financial Controls IFRS GAAP

FULL DESCRIPTION

At [Employer hidden — view at passion-project.co.uk] we help SMEs save time (and money) in the running of their businesses by not only offering business accounts and related banking services, but also a comprehensive set of highly usable and connected administrative solutions from invoicing to accounting.

ABOUT THE ROLE:

As VP of Finance you will be one of the senior Finance leaders driving [Employer hidden]’s financial integrity, operational excellence, and controls foundation as we scale globally. You will own [Employer hidden]’s Group reporting, controllership, audit, reconciliations, and key financial governance and regulatory processes; leading the teams and frameworks that ensure accuracy, reliability, and transparency of financial information for internal leadership and external stakeholders.

You will partner closely with the CFO and business leaders across the organisation to ensure [Employer hidden]’s financial operations are robust, compliant, and aligned with our strategic objectives. This role will be shaping how finance operates as a trusted, scalable partner to the business.

As VP of Finance you will:

  • Lead and own [Employer hidden]’s group financial reporting and controllership, ensuring accurate, timely month-end and year-end close processes across all entities.
  • Be responsible for Group Financial reporting & Controllership, Audit & Compliance, Treasury Management, Reconciliation.
  • Oversee group consolidations, intercompany processes, and balance sheet integrity, maintaining high standards across accruals, provisions, and reconciliations.
  • Ensure the delivery of high quality management accounts and financial reporting that support executive decision-making, board reporting, and external stakeholders.
  • Own [Employer hidden]’s statutory reporting and external audit processes, managing auditor relationships and ensuring smooth, well-governed audit cycles with no surprises.
  • Maintain strong compliance with relevant accounting standards and financial reporting requirements across all jurisdictions in which [Employer hidden] operates.
  • Act as the senior owner for complex accounting matters and technical judgements, providing clear guidance and maintaining robust documentation and governance.
  • Lead [Employer hidden]’s treasury and liquidity management, including cash forecasting, working capital optimisation, and oversight of banking relationships and financial risk.
  • Working with the Group Treasurer, build scalable treasury frameworks to manage liquidity, foreign exchange exposure, and financial resilience as [Employer hidden] grows internationally.
  • Set the standard for timely and accurate reconciliations across bank accounts, safeguarding, intercompany balances, and control accounts, ensuring issues are identified and resolved quickly.
  • Continuously strengthen internal controls, financial policies, and governance frameworks to protect the integrity of [Employer hidden]’s financial operations.
  • Partner closely with FP&A, commercial finance, operations, and product teams to ensure financial processes support business growth while maintaining strong financial discipline.
  • Build, develop, and lead a high performing global finance team across reporting, controllership, treasury, audit, and reconciliations.
  • Drive automation, systems improvements, and process optimisation to improve efficiency, accuracy, and scalability of finance operations.
  • Be s a trusted advisor to the CFO and executive leadership on financial governance, risk, and operational finance matters.

WHAT WE ARE LOOKING FOR:

  • Proven senior finance leadership experience (likely 15+ years), including controllership, group reporting, or finance operations in fast-growing global organisations.
  • Track record owning statutory reporting, audit, treasury, and financial controls at scale across multi-currency and multi-entity environments.
  • Deep understanding of IFRS and UK/International GAAP frameworks, with hands-on experience managing external audits and compliance.
  • Strong experience leading treasury, cash forecast modelling, banking relationships, and liquidity management.
  • Demonstrated ability managing complex reconciliations and control frameworks with precision and accountability.
  • Exceptional strategic thinking and leadership skills, with a history of making impactful decisions.
  • Exceptional organisational, analytical, and communication skills, able to simplify complexity and inform senior leaders with clarity.
  • A builder and operator mindset, comfortable balancing strategic priorities with operational delivery in a high-growth, dynamic environment.
  • Attention to detail, and ability to lead cross-functional initiatives.
  • Professional qualification (e.g., ACA/ACCA/CIMA) or equivalent experience strongly preferred
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