Finance Business Partner; Maternity cover
Listed on 2026-02-28
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Finance & Banking
Financial Manager, Corporate Finance, Financial Consultant, CFO -
Management
Financial Manager, CFO
Location: Greater London
Company Description
As a professional services company, Ayming partners with businesses and institutions around the world to unlock lasting value. With a team of over 1,500 experts in Innovation, HR, and Taxes across 14 countries; our three delivery modes are: consulting services, digital services and managed services.
Job DescriptionWe have an exciting opportunity for an experienced Finance Business Partner to join our Finance team on a 12-month maternity cover contract, based in our offices in Leandenhall street.
The successful candidate will be ambitious, detail-oriented, and a dynamic self-starter, bringing fresh ideas to support the continued growth and maturity of the finance function. This role requires strong collaboration across all departments and close partnership with the Leadership Team.
Reporting directly to the International Finance Director, the role has overall responsibility for overseeing day-to-day financial activities, ensuring robust financial governance, and delivering high-quality financial insight to support decision-making across the business.
This is a hands‑on role suited to someone highly organised, commercially minded, and comfortable working in a small, fast‑paced team environment with flexibility and adaptabilit
Key Duties and Responsibilities Financial Reporting & Analysis- Preparing weekly financial reports, ensuring timely and accurate information for senior stakeholders
- Ensuring the accuracy and relevance of analyses and standard reporting (P&L, KPIs, etc.)
- Producing and maintaining a standardised reporting pack for the Leadership Team
- Delivering monthly variance analysis with clear commentary and insights
- Monitoring and interpreting cash flow, including forecasting future trends
- Preparing detailed WIP analysis, driving improved visibility and understanding of project and revenue performance
- Producing departmental monthly reporting and supporting budget holders with financial insight
- Developing, tracking, and reporting on KPIs and KRIs for the Leadership Team
- Providing timely and accurate financial and operational data to support Leadership Team decision‑making
- Proactively supporting other members of the Leadership Team by ensuring they have access to relevant, reliable data
- Driving ongoing business reporting improvements to enhance clarity, consistency, and usefulness of information
- Acting as a Finance Business Partner to the Managing Director, department Heads, group finance and external stakeholders.
- Supporting the implementation of IT tools related to business including Workday Finance, Workday Billing and Operate
- Providing and interpreting financial information, advising on performance, risks, and opportunities
- Develop and assist the local management team in using the Controlling tool (TM1) to monitor and manage performance effectively.
- Analysing change and advising accordingly from a financial and commercial perspective
- Ensuring strong financial controls and compliance with financial regulations and legislation
- Overseeing and reviewing balance sheet reconciliations
- Leading and manage the local Finance team, ensuring team members are motivated, supported, and developed to reach their full potential
- Acting as a fully integrated member of the Group Finance team, fostering collaboration, knowledge sharing, and alignment with global financial processes and priorities
- Building and maintaining strong relationships with internal customers, understanding their needs, providing timely financial insight, and acting as a trusted advisor
- Managing relationships with key stakeholders, including department heads, project managers, and external partners, ensuring finance is a proactive partner in business decision‑making
- Driving continuous improvement in team performance and operational efficiency, ensuring the delivery of high‑quality financial services and adherence to best practices
- Reporting and analysis of KPIs
- Detailed stock reporting
- Cashflow forecasting and management
- Managing the annual audit process
- Responsible for the annual budgeting and forecasting process
- Creating and maintaining reports and…
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