An exciting opportunity has arisen for an experienced Group Financial Reporting & Treasury Manager to join a leading luxury hotel group with a prestigious portfolio of properties across Europe and several new developments in progress.
This pivotal role, based at the Group’s Head Office in Central London, reports directly to the VP of Finance. The position will play a crucial part in managing group financial reporting, treasury, and tax compliance, ensuring efficient use of financial resources and supporting strategic decision-making.
Essential skills and experience:
- Qualified accountant (ACA, ACCA, or equivalent) with at least four years’ post-qualified experience, ideally within an international, multi-entity organisation.
- Previous exposure to hotel or hospitality finance strongly preferred.
- Proven experience in consolidation and multi-currency financial reporting.
- Strong background in statutory reporting and managing external audits.
- Solid understanding of UK corporate tax, VAT, and awareness of international tax principles.
- Hands-on experience in cash flow forecasting, working capital, and treasury management.
- Knowledge of IFRS (especially IFRS 16 and impairment assessments).
If you’re looking for your next challenge, please contact Tairona at fm@fmrecruitment.co.uk or call on +44 208 600 1164
Applicants must have the legal right to work in the UK.