Phastar is seeking an experienced Group Financial Controller to own the integrity of the Groupβs financial reporting, controls, and cash. Reporting to the CFO, you will lead month-end close, year-end audit, tax, treasury and cashflow forecasting, while partnering on M&A and value creation.
The role is full-time and permanent; based in the UK with options for remote or hybrid work. You will lead a finance team of three and collaborate across the business to optimise working capital and governance.
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Group Financial Controller β Remote/Hybrid, M&A & Cashflow employer: PHASTAR
PHASTAR is an exceptional employer that prioritises employee growth and development, offering a dynamic work culture that fosters collaboration and innovation. With the flexibility of remote or hybrid working arrangements, particularly for those based in the UK or France, employees enjoy a healthy work-life balance while contributing to impactful projects in the pharmaceutical sector. The companyβs commitment to career advancement and its supportive environment make it an ideal place for professionals seeking meaningful and rewarding employment.