Senior UK Finance Manager - UK Financial Planning & Reporting Manager
Senior UK Finance Manager - UK Financial Planning & Reporting Manager
acca careers- Posted 13 hours ago
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Job Description
Senior Financial Controller - UK Client Finance Leadership
Location: Islamabad
Job Type: On-Site, Full-Time Role Overview
We are looking for an experienced Senior Finance Manager with strong hands-on experience in the UK market to lead financial management, reporting, taxation, payroll, budgeting, forecasting, and financial control activities. The ideal candidate should have a strong understanding of UK accounting practices, HMRC compliance, UK corporate tax, VAT, and UK payroll, along with proven experience in financial reporting, budgeting, forecasting, financial modelling, cash-flow management, and management reporting. This is a senior-level position requiring someone who can independently manage financial operations, provide meaningful financial insights to senior management and investors, and support strategic business decisions.
Key Responsibilities
The ideal candidate will be a senior finance professional with strong UK-market exposure, capable of independently handling UK accounting, taxation, payroll, HMRC compliance, financial reporting, budgeting, forecasting, financial modelling, and financial control. We are specifically looking for someone with practical, hands-on UK experience, rather than a candidate whose experience is limited to general accounting or bookkeeping.
Location: Islamabad
Job Type: On-Site, Full-Time Role Overview
We are looking for an experienced Senior Finance Manager with strong hands-on experience in the UK market to lead financial management, reporting, taxation, payroll, budgeting, forecasting, and financial control activities. The ideal candidate should have a strong understanding of UK accounting practices, HMRC compliance, UK corporate tax, VAT, and UK payroll, along with proven experience in financial reporting, budgeting, forecasting, financial modelling, cash-flow management, and management reporting. This is a senior-level position requiring someone who can independently manage financial operations, provide meaningful financial insights to senior management and investors, and support strategic business decisions.
Key Responsibilities
- Lead and oversee UK financial operations, accounting, reporting, and financial control.
- Prepare and review monthly management accounts, financial statements, cash-flow reports, and statutory financial reports.
- Manage UK corporate tax, VAT, HMRC compliance, and tax-related filings, ensuring accuracy and timely submissions.
- Manage and review UK payroll, including payroll calculations, PAYE, National Insurance, pension-related requirements, and HMRC reporting.
- Develop and manage annual budgets, financial forecasts, cash-flow projections, and long-term financial plans.
- Prepare advanced financial models and scenario analysis to support business planning and investment decisions.
- Analyse financial performance, identify trends, risks, cost-saving opportunities, and areas for business improvement.
- Prepare detailed MIS and financial reports for senior management, investors, and the board. Monitor cash flow, working capital, profitability, revenue, expenses, and overall financial performance.
- Establish and maintain strong internal financial controls, processes, and accounting procedures.
- Coordinate with UK auditors, tax advisors, accountants, HMRC, banks, and external financial consultants. Support financial due diligence, investment reporting, business expansion, restructuring, and other strategic financial activities.
- Lead, supervise, and develop the finance team while maintaining high standards of accuracy, accountability, and compliance.
- Provide financial advice and insights to senior management to support strategic and commercial decision-making.
- ACA, ACCA, CIMA, or equivalent professional accounting qualification.
- Minimum 7-10 years of progressive finance and accounting experience, with significant experience in a senior finance management role.
- Strong hands-on UK market experience is mandatory.
- Proven experience managing UK taxation and HMRC compliance.
- Strong practical experience with UK payroll, PAYE, National Insurance, pension contributions, and HMRC payroll requirements.
- Extensive experience in management reporting, budgeting, forecasting, financial modelling, and variance analysis.
- Strong experience preparing financial reports and presenting financial performance to senior management, investors, and board-level stakeholders.
- Strong understanding of UK accounting standards, VAT, corporation tax, and statutory reporting requirements.
- Experience managing cash flow, working capital, profitability, and financial controls.
- Advanced proficiency in MS Excel and experience with financial/accounting systems such as Xero, QuickBooks, SAP, or similar platforms.
- Hands-on experience with ERP and financial management systems such as Oracle, Odoo, Microsoft Dynamics, or similar ERP platforms.
- Strong experience with Power BI or other financial reporting and business intelligence tools will be an advantage.
- Experience with Power BI or other financial reporting/BI tools will be an advantage.
- Strong analytical, communication, presentation, and leadership skills.
- Ability to independently manage complex financial matters and work in a fast-paced, deadline-driven environment.
- Experience working with UK-based companies or UK clients.
- Experience managing multi-entity or international finance operations.
- Experience dealing directly with HMRC, UK auditors, tax advisors, and payroll providers.
- Experience supporting investment rounds, financial due diligence, mergers, acquisitions, or business restructuring.
- Previous experience managing and developing a finance/accounting team.
- Experience working with senior leadership, investors, and board members.
The ideal candidate will be a senior finance professional with strong UK-market exposure, capable of independently handling UK accounting, taxation, payroll, HMRC compliance, financial reporting, budgeting, forecasting, financial modelling, and financial control. We are specifically looking for someone with practical, hands-on UK experience, rather than a candidate whose experience is limited to general accounting or bookkeeping.
More Info
Key Skills
UK accounting practices
HMRC compliance
UK corporate tax
cash-flow management

