Finance Manager – W.h. Scott Group

London, ENG, GB, United Kingdom

Job Description

Finance Manager - W.H. Scott Group



Location

: London or Dublin (with some travel across UK & Ireland)

Reporting To

: Chief Financial Officer (CFO)

Experience Required

: Qualified Accountant, ideally 3+ years' experience in financial accounting, commercial finance or FP&A roles, wiling to grow and develop with the


company

About W.H. Scott Group:





W.H. Scott Group is a market leader in inspection and lifting solutions, delivering high-quality products and services across the UK and Ireland. With a focus on safety, efficiency, and technical excellence, we support a wide range of industries with critical equipment and compliance services. As the business continues to grow, we are seeking a commercially astute qualified accountant to optimise capabilities of the finance function to include reporting, budgeting, forecasting and scenario analysis, among wider business related projects.

Role Overview:





This newly created role will report directly to the CFO. The Finance Manager is a versatile finance professional who plays a dual role primarily across financial planning & analysis (FP&A) and financial control. This role leads budgeting and forecasting processes, delivers management reporting, and supports strategic decision-making. In addition, the Finance Manager is responsible for supporting post-merger integration of newly acquired subsidiaries, ensuring accurate account reconciliations, and overseeing critical journal entries across the UK group. This role is key to creating a high-integrity, insight-driven finance function across the WH Scott Group. Role will be based in either Wicklow (Rathnew), or Dublin (Tallaght) offices, with travel to Ireland and the UK.

Key Responsibilities:





Lead group budgeting and forecasting processes, including consolidation of entity-level inputs


Deliver monthly financial and management reporting with analysis and commentary


Build financial models for strategic initiatives, investment cases, and scenario planning


Develop monthly management packs with clear variance analysis


Oversee post-merger integration of finance processes, systems, and reporting for acquired entities


Partner with Commercial and Operational teams to improve margin and cost insights, delivering dashboards highlighting sales, margin, cost, and operational KPIs


Prepare and review key journal entries, including accruals, prepayments, and intercompany adjustments


Support the Group Financial Controller in financial close processes and audit preparation


Develop short and long-term cash flow forecasts in partnership with Treasury/Tax


Support the optimization of financial reporting tools (e.g., Datarails, Excel models, JET reporting)


Collaborate with Systems & IT for automation and data consistency

What We're Looking For:





Qualified accountant (ACA/ACCA/CIMA) or strong FP&A background


3+ years' experience in commercial finance, FP&A, or Audit roles


Strong modelling and Excel skills (Power BI, Datarails, Excel or Jet Reports a plus)


Experience in multi-entity or group-level forecasting/reporting


High attention to detail and analytical ability


Strong interpersonal skills to communicate with senior stakeholders


Annual salary from 80 k + bonus, based on experience

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Job Detail

  • Job Id
    JD3431454
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    London, ENG, GB, United Kingdom
  • Education
    Not mentioned