United Infrastructure is a leading infrastructure, construction, and property services company in the UK. We help our customers and the communities they serve benefit from resilient infrastructure, affordable homes, and improved living spaces that are fit for the future. We employ over 1400 people and work with a broad range of public and private sector clients.
United Infrastructure is comprised of four complementary businesses, all dedicated to realising our vision of creating a connected, sustainable future. Our Connected business connects people through fixed-line and mobile telecoms infrastructure, ensuring seamless communication and access to information
Role Purpose
To lead the financial integration of Glenelly into the
United Infrastructure Group
, bringing deep senior finance expertise, strong systems knowledge, and a hands-on delivery mindset. This role will ensure a smooth transition across systems, processes, reporting, and compliance, while delivering high-quality financial insight and business support to senior leadership.
Key Responsibilities
Finance Integration
Lead the integration of Glenelly and future acquisitions in this sector into the Group's finance structure and systems, with a current focus on
Drive Business World
implementation.
Oversee training and onboarding of key users across the finance function.
Processes & Controls
Align financial processes and reporting with Group standards.
Establish robust internal controls and ensure financial governance is consistently applied.
Reporting - Month-End / Year-End
Manage the transition of reporting processes.
Provide hands-on support during the transition period to maintain reporting continuity.
Audit & Tax
Ensure timely and smooth delivery of the FY25 external audit for Glenelly.
Oversee VAT, CIS, and other regulatory compliance obligations, ensuring full adherence to UK financial standards.
Management Accounts & Board Reporting
Provide review, challenge, and oversight of financial reporting outputs prior to handover to Business Central.
Ensure information is materially accurate and decision-ready for senior leadership.
Cash & Banking
Lead the development of cash forecasting and reporting across the Power Pillar.
Improve cash visibility and support liquidity planning.
Budgeting, Forecasting, and Financial Modelling
Deliver forward-looking financial support to senior leaders.
Provide insight on cost control, cash optimisation, and profit growth strategies.
Required Skills & Experience
Proven experience as a
Finance Director
,
Financial Controller
, or equivalent senior finance role, ideally within an SME or divisional structure.
Strong technical knowledge of
UK GAAP
, compliance frameworks, and regulatory obligations.
Demonstrable success in delivering
integration of business units
or divisions into Group structures.
Experience implementing or optimising finance systems - ideally with
Drive Business World
or
Microsoft Business Central
.
Track record of producing and interpreting
high-quality management information
, board packs, and strategic financial insight.
Strong experience in
budgeting, forecasting, modelling
, and commercial financial planning.
Skilled in managing
complex stakeholder environments
, including operational, board-level, and cross-functional teams.
Desirable Experience
Background in
infrastructure, utilities, engineering, or construction