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Goodman Masson
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  • Senior Accountant  

    - London
    Looking for a Senior Accountant to join a household name, global mass... Read More
    Looking for a Senior Accountant to join a household name, global mass media company in their London head office. This is a contract position within the Controllership team running until end of September 2026. This role will play a key part in delivering accurate and timely accounting and financial reporting across multiple business units within the EMEA region. Reporting to an Accounting Manager, the Senior Accountant will handle quarterly accounting and reporting for profit and loss, balance sheets, balance sheet reconciliations, and stakeholder engagement across local finance teams and global controllership and compliance partners. The role requires adherence to US GAAP and collaboration across multiple lines of business. Paying up to £450 a day inside IR35, depending on relevant experience for the role.
    This is an office-based role, with four days per week onsite in London and one day working from home. Key Responsibilities
    Oversee the preparation of quarterly accounts, including coordination of schedules, reconciliations, and reporting packages for senior management review. Prepare financial reports such as income statements, balance sheet flux analyses, and other required submissions for internal and external stakeholders. Ensure the timely and accurate submission of monthly and quarterly reporting packages. Present at quarterly country close meetings for assigned territories. Complete balance sheet reconciliations for review. Produce business reports with accurate commentary and clear follow-up on variances. Provide support to management and the wider finance team on ad hoc tasks and analysis. Identify and drive improvements to existing processes to enhance efficiency and maintain high service standards. Ensure compliance with internal control requirements, including Sarbanes-Oxley and minimum control standards.
    Qualifications & Skills
    Fully qualified Accountant (ACA, ACCA, or CIMA) Strong interpersonal skills with the ability to build effective working relationships at all levels. Excellent communication skills, able to provide clear rationale and timely, relevant information. Results-driven, with the ability to translate strategy into actionable goals and tasks. Knowledge of SAP is preferred. Read Less
  • Assistant Accountant  

    - Chester
    12 month FTC - £25-28K – Chester office (Hybrid working) A well-regar... Read More
    12 month FTC - £25-28K – Chester office (Hybrid working)
    A well-regarded Financial Services firm are looking to bring on an Assistant Accountant into their finance team on a 12 month fixed-term basis. This is an excellent opportunity to showcase and build on your existing skillset.
    This role is based in their Chester office – with 2-3 days a week required in office.
    The key bits of the role involve: Invoice processing Processing supplier payments & reconcile statements Oversee employee expenses Assist with cash flow management Support with any inbox queries
    Your background: Previous experience in Accounts Payable or Finance Administration Comfortable with Excel AAT studier, or relevant degree Strong attention to detail
    This is the opportunity to join a fantastic firm in a close-knit team where you will be supported and given the opportunity to get involved in a variety of different areas in order to develop your skillset.
    Apply now! Read Less
  • Finance Business Partner  

    - London Area
    Finance Business Partner| Global Leisure| London| Hybrid| £60-70k plus... Read More
    Finance Business Partner| Global Leisure| London| Hybrid| £60-70k plus bonus

    A global leading leisure business is looking to recruit an ACA/ACCA/CIMA qualified finance business partner.
    This is a strategic role, responsible for partnering with senior business leaders to drive financial performance and support the company’s strategic goals. This role involves oversight of financial analysis, business insights, budgeting, forecasting, and strategic financial decision-making. You will play a key role in providing actionable financial advice, ensuring optimal resource allocation, and influencing the strategic direction of operations.

    Main duties include:
    -Support in the creation and execution of a finance strategy, focusing on financial performance, budgeting, forecasting, and long-term strategic planning -Act as a strategic advisor to the leadership teams, providing insights on financial performance, business planning, investment opportunities, and operational development -Collaborate with key business units, ensuring finance initiatives meet business needs -Support in the creation of financial models and forecasts, providing accurate and timely financial insights to guide strategic decision-making -Lead the budgeting process ,ensuring alignment with business goals and providing recommendations on cost optimisation and resource allocation -Provide deep analysis of financial performance, highlighting key drivers, risks, and opportunities to improve profitability and operational efficiency -Oversee the preparation of timely and accurate financial reports, presenting insights to business leaders and stakeholders, and advising on any financial implications -Develop and track key financial performance metrics to monitor and improve the efficiency and effectiveness of business operations -Collaborate with global finance teams to ensure consistency in financial practices


    You will be ACA/ACCA/CIMA qualified with a finance business partnering background. Experience in a consumer or leisure/FMCG business would be desirable.

    This is a great chance to join an iconic brand in a very strategically focused role. Read Less
  • Financial Accountant  

    - London Area
    Interim Financial Accountant | Real Estate | 8 month month FTC - £60k... Read More
    Interim Financial Accountant | Real Estate | 8 month month FTC - £60k | January Start
    I'm working with a well known real estate firm to hire an interim Financial Accountant to support over year end, the role will start in January for an 8 month contract.
    The role will support on the following: Produce high-quality statutory accounts using OneSource Coordinate audit responses with internal finance teams, handle auditor and tax queries promptly Prepare journals to align the general ledger to signed accounts, uphold ledger integrity, and support ongoing control improvements across the finance function. Own key elements of quarterly reporting, ensuring accurate postings and balance sheet reconciliations in line with Group timetables. Work with the Group Financial Controller on the production of the annual report and accounts, meeting strict reporting deadlines. Investigate and correct intercompany balance mismatches, ensuring accuracy and consistency across Group entities. Build strong relationships across finance and wider business teams
    Key Skills: Qualified Accountant Prior real estate experience is beneficial but not required.
    This is a great opportunity for a newly qualified Accountant from practice to join a fun and supportive finance team! Read Less
  • Head of Support Services  

    - Hackney
    Head of Support Services Hackney Council Repairs and Maintenance | Hou... Read More
    Head of Support Services
    Hackney Council
    Repairs and Maintenance | Housing Services
    Salary: £66,084 - £67,269 Goodman Masson is pleased to be partnering with Hackney Council to recruit a Head of Support Services, a critical leadership position within Repairs and Maintenance. This role oversees the Council's fleet, complaints, and stock management functions, ensuring essential operational support that enables high-quality, resident-focused housing services. As Head of Support Services, you will lead the development of efficient systems, processes, and teams that underpin service delivery across Repairs and Maintenance. You will manage the Transport and Stores Manager and Complaints & Insurance Manager, ensuring that vehicles, materials, and customer feedback frameworks operate to the highest standards of safety, compliance, and value for money. You will take a proactive approach to customer service, embedding a culture of accountability, continuous improvement, and strong performance management. You will oversee fleet strategy, regulatory compliance, and environmental targets; manage a robust stock control operation with streamlined procurement and audit processes; and lead a high-performing complaints function that identifies service trends, improves outcomes, and enhances resident trust. A key part of the role involves health and safety leadership, risk management, and ensuring that systems, data, and reporting frameworks support effective decision-making. This position requires a visible leader who can build strong internal and external relationships, engage residents, and represent the service across panels, forums, and stakeholder settings. You will contribute to organisational change, drive digital transformation, and lead a team committed to Hackney's values of inclusion, openness, and ambition. We are seeking candidates with:
    - Senior leadership experience in a complex operational environment
    - Strong understanding of fleet, stock, or complaints management (ideally all three)
    - Proven ability to lead teams through organisational and culture change
    - Excellent analytical and data-driven decision-making skills
    - Strong stakeholder engagement and communication capabilities
    - Experience managing budgets, risk, and performance frameworks
    - A commitment to equality, resident-focused service delivery, and continuous improvement This is an influential role shaping the support services that enable high-performing repairs delivery for thousands of residents across Hackney. If you are a strategic, operationally focused leader with a passion for service excellence, we would welcome your application. For more information or to apply, please contact Read Less
  • Commercial Finance Manager  

    - Greater London
    Commercial Finance Manager | PE backed Renewables | £80,000 + bonus... Read More
    Commercial Finance Manager | PE backed Renewables | £80,000 + bonus
    I am currently working with a PE backed Renewables company who are looking for a Commercial Finance Manager to join their team after a period of significant growth. My client is looking for someone who enjoys dealing with senior stakeholders and comfortable working with the business to help drive the strategy.
    For this role you will need to have extremely good senior stakeholder management as you will be presenting to the CFO/ CEO and the executive team plus other senior stakeholders. You will also work with various other areas of the business to lead on improvements. You will be required to have extremely good modelling skills and be able to work with the business in designing the strategy of the business then implement this as well.
    This is a extremely commercial role and you will need to be able to explain complex/ present strategies, concepts and data to internal and external audiences. You will have the opportunity to implement improvements to the work environment and ways of working for the better of the company.
    My client is currently operating a hybrid working model and they go into the office 3 days per week, which is in central London.
    Commercial Finance Manager | PE backed Renewables | £80,000 + bonus Read Less
  • Fund Controller - Director - Private Credit  

    - London Area
    Role: Fund Controller – Director – Private Credit Compensation: Comp... Read More
    Role: Fund Controller – Director – Private Credit Compensation: Competitive Total Compensation package
    A top tier Private Credit firm are looking to hire a Director into their Fund Control team as a result of significant growth in recent years.
    This role will manage a team and will have an initial aim of streamlining processes and leveraging technology to improve financial reporting and analysis. This role will also face off with Front Office to support with Fund Modelling, Forecasting, FX Hedging and support with other commercial analysis and initiatives.
    The business are open on asset class experience, the right candidate can come from either a Public or Private Markets fund background.
    Key experience that is required is at least 7 years’ post qualified experience in Fund Finance, strong Controls and Process optimization / automation experience, and proven analytical and problem solving skills.
    Responsibilities include:
    Monthly investor reporting and oversight of deliverables from the fund administrator Optimise and streamline monthly reporting processes utilising technology Develop and maintain dashboards to provide insights and analyse fund performance Monitoring and reporting on key performance metrics for management and investors Forecasting, Fund modelling and cash-flow FX hedging and Liquidity management Fund Regulatory and Tax Reporting and audits Coach and manage direct reports Ad hoc projects supporting Management, Portfolio Managers and Fund Finance team Read Less
  • System Implementation Accountant  

    - London Area
    6 month contract – Rate/salary depending on experience – Implementatio... Read More
    6 month contract – Rate/salary depending on experience – Implementation Project
    I have partnered with an extremely successful and well-regarded Financial Services firm who are looking to bring on a strong finance transformation accountant on a 6 month contract. This role will surround the implementation of a new group consolidation system – therefore, experience in a similar capacity is imperative.
    The go-live for this role is scheduled for May 2026 – so we are looking to get someone started ASAP to ensure everything runs to expected timelines.
    Key responsibilities: Collaborate with finance and IT teams to define requirements for analytical reporting Data migration – mapping legacy data to new structures, performing reconciliation and validity testing Overseeing UAT – develop test scripts for consolidation scenarios Document new consolidation processes & controls
    Your experience : Demonstrated hands-on experience with the implementation of a group consolidation system Strong understanding of the challenges of data migration, testing, control implementation and training Strong working knowledge of consolidation processes and group reporting Exposure to SAP FC or SAP Group Reporting would be beneficial, but wider consolidation system experience is still transferable
    This is a truly exciting project will you be able to get stuck in and make a difference immediately through harnessing your existing skillset and experience. Furthermore, you will be joining a highly successful firm, adding fantastic experience to your CV!
    Apply now! Read Less
  • Senior Commercial FP&A Manager - Strategy  

    - London Area
    Senior FP&A Manager | Tech | £80,000 to £90,000 plus package | West Lo... Read More
    Senior FP&A Manager | Tech | £80,000 to £90,000 plus package | West London
    Goodman Masson are delighted to be exclusively partnering with a global, PE-backed Tech/SaaS business who are looking to hire a Snr FP&A Manager - Strategy to join their London finance team. This is a highly commercial role that will work closely with the leadership team, providing strategic insight and decision support to help drive growth and profitability.
    Please note, this role is 5 days a week in their offices which are located near to Ealing .
    With significant private equity backing, the business is scaling rapidly both in the UK and internationally. As part of this growth journey, finance is seen as a true business partner, playing a central role in budgeting, forecasting, improving operational performance, P&L reporting, and supporting key investment decisions.
    The Role This is not just a traditional FP&A role, it’s an opportunity to influence the broader commercial agenda of the company. You’ll act as a trusted partner to budget owners, providing real-time financial analysis and recommendations to improve business outcomes. In addition to core FP&A duties, you’ll take a leading role in the company’s transformation programme , supporting ongoing projects that will reshape the finance function and wider business operations.
    Key Responsibilities Lead and own the group budgeting, forecasting, and reforecasting processes across the business Develop and maintain robust financial models to support business decision-making Provide business partnering support to department heads and non-finance stakeholders, helping them understand financial performance and improve cost control Assist with P&L, Balance Sheet and Cash Flow reporting where required. Conduct ad hoc commercial projects and strategic analysis , including scenario planning and performance tracking Work closely with the CFO and senior management team to help shape and execute growth plans
    What We’re Looking For Qualified accountant (ACA / CIMA / ACCA) Proven FP&A and commercial finance experience Excellent financial modelling skills (Excel or equivalent modelling platforms) A proactive, commercially minded individual who thrives on making an impact and driving business performance
    What’s on Offer £80,000 to £90,000 base salary plus bonus High-growth, dynamic business with a sociable, collaborative culture Opportunity to be part of a PE-backed growth story , where finance is central to decision-making
    Senior FP&A Manager | Tech | £80,000 to £90,000 plus package | West London Read Less
  • Commercial Finance Business Partner  

    - Greater London
    Commercial Finance Business Partner | PE backed TMT | £70,000 - £80,00... Read More
    Commercial Finance Business Partner | PE backed TMT | £70,000 - £80,000 + bonus
    I am currently working with a PE backed TMT company who are looking for a Commercial Finance Business Partner to join their team after a period of significant growth. My client is looking for someone who enjoys dealing with senior stakeholders and comfortable working with the business to help drive the strategy.
    Some of your responsibilities will include; Provide insightful financial analysis to influence pricing, margin and capex decisions. Business partner with various teams to give clear recommendations for finance and non-finance stakeholders. Own the forecast, monthly outlooks and scenario planning. Build and maintain driver-based models to evaluate initiatives. Develop robust, auditable models for pricing, bids/ tenders and M&A cases where relevant. Partner with sales to to drive sales strategies and realise margin enhancement opportunities.
    For this role you will need the following to be considered; Qualified accountant either ACA/ACCA/CIMA and with 2 - 5 years post qualified experience. Exposure to bids/ tenure and contract lifecycles. Experience in a fast-paced PE backed environment. Expert proficiency in financial modelling, Power BI and Excel. Relevant industry experience from a fast growing company.
    This is a extremely commercial role and you will need to be able to explain complex/ present strategies, concepts and data to internal and external audiences. You will have the opportunity to implement improvements to the work environment and ways of working for the better of the company.
    My client is currently operating a hybrid working model and they go into the office 3 days per week, which is in central London.
    Commercial Finance Business Partner | PE backed TMT | £70,000 - £80,000 + bonus Read Less

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