White Horse Employment are proud to be partnering with a fast-growing business based in Swindon on the recruitment of an interim Financial Accountant/Finance Manager (3 to 6 months). This is an exciting opportunity to join a dynamic team supporting ambitious expansion plans. You’ll play a key role in shaping the transactional finance function while driving statutory compliance, audit readiness, and process improvement.
What you’ll be doing
Deliver cashflow forecasting and collaborate with commercial, operations, and central teams
Drive process improvements and automation across finance operations
Lead and elevate the transactional finance function ensuring efficient, accurate and compliant financial operations
Lead and develop the transactional finance team, overseeing Accounts Payable, Accounts Receivable, and Treasury/Cash Management
Ensure accurate, timely processing of payments and collections while maintaining strong controls and monitoring KPIs
Create cash flow Forecasts to support the wider business
Partner with senior stakeholders to provide insight, challenge, and operational support
About You
Experience managing or supporting a transactional finance team
Confident creating cash flow forecasts and dealing with VAT submissions
Strong analytical and problem-solving skills, with the ability to work across multiple priorities
Excellent organisational skills, with a focus on accuracy, efficiency, and continuous improvement
This is a fantastic opportunity for a finance professional to take ownership of a key function in a rapidly expanding business, supporting growth, improving processes, and driving operational excellence.
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What you’ll be doing
Deliver cashflow forecasting and collaborate with commercial, operations, and central teams
Drive process improvements and automation across finance operations
Lead and elevate the transactional finance function ensuring efficient, accurate and compliant financial operations
Lead and develop the transactional finance team, overseeing Accounts Payable, Accounts Receivable, and Treasury/Cash Management
Ensure accurate, timely processing of payments and collections while maintaining strong controls and monitoring KPIs
Create cash flow Forecasts to support the wider business
Partner with senior stakeholders to provide insight, challenge, and operational support
About You
Experience managing or supporting a transactional finance team
Confident creating cash flow forecasts and dealing with VAT submissions
Strong analytical and problem-solving skills, with the ability to work across multiple priorities
Excellent organisational skills, with a focus on accuracy, efficiency, and continuous improvement
This is a fantastic opportunity for a finance professional to take ownership of a key function in a rapidly expanding business, supporting growth, improving processes, and driving operational excellence.
#J-18808-Ljbffr