Job Overview
The Financial Controller is a key member of the management team at St Michaels Resort and the day-to-day lead for the finance function.
The role is critical in helping to ensure that St Michaels meets its overall profit and performance targets through accurate, insightful management reporting and by building financial acumen across all staff in the business. You will be responsible for the running of the finance function.
This is a genuinely "hands on" Financial Controller role, as well as encompassing a wide-ranging commercial brief to help improve the performance and efficiency / productivity of the business.
The role reports to the Finance & Performance Director, with 2 direct reports (1 full time, 1 part time) and close liaison with the senior team.
Scope of the Role
Budgetary / Planning
- Work closely with senior managers in the preparation of annual business plans and detailed budgets
- Undertake regular performance reviews and ensure that all financial / business forecasting is well developed
- Prepare annual investment and capex plans
- Prepare annual cash flow plans
Financial Accounts & Reporting
- Production of monthly Management Accounts and Business Model to include detailed Departmental trading performance
- Maintain and update the monthly management accounts lead schedules
Performance Management
- Report daily, weekly, monthly on business performance through the creation of key management KPI dashboards and performance monitors
- Set clear and accountable performance measures, KPIs and performance ratios in conjunction with the Finance & Performance Director, Board and senior management
- Provide ad hoc financial analyses as required, review of historic data, investment of capital expenditure, pricing decisions etc
- Oversee the monthly production of the self-catering owner packs, ensuring owner statements, revenue splits, commissions and recharged costs are accurate, consistent and issued to deadline
- Act as the finance point of contact for owner queries arising from the packs, working with the Reservations and Sales teams to resolve discrepancies promptly
Processes, Systems & Controls
- Ensure all financial procedures, processes, and systems are agreed, documented and well understood by all relevant personnel across the business
- Strive to improve all procedures and make them more efficient
- Undertake regular checks and reviews to ensure all processes are properly followed and that an adequate system of controls over accounting transactions is in place
- Stay constantly alert to any irregularities and investigate as necessary. Ensure all cash handling is well managed and sales revenue against monies received is well analysed
- All Debtors Accounts are managed and controlled on a regular basis
- All bank accounts are reconciled on a monthly basis
Procurement / Bought Ledger / Stockholdings
- Ensure the business procures all its goods and services as cost effectively as possible and our process of procurement delivers us excellent value in a clear, accountable, and transparent manner
- Ensure all suppliers are well managed and paid in accordance with agreed terms
- Ensure all procurement, stock holding levels, stock management, receiving etc is managed well and accurate cost of sale figures are produced as a result
- Ensure regular stock takes and analysis of findings across all stocked items takes place
Payroll
- Process monthly payroll for approx. 200 employees, currently processed in house, with a review of outsourcing planned
- Administer the monthly tronc, including allocation, distribution, record keeping and associated reporting
Statutory, Compliance & Audit
- Provision of annual financial statements to external accountants for detailed audit review and thereafter submission to Companies House
- Handle the onsite audit
- Responsible for all statutory requirements of the business including VAT, payroll filings (RTI, P11Ds, pension auto-enrolment) and liaison with related parties
- Ensure compliance with all licences, and statutory matters
Team / Development
- Develop a strong, motivated, accurate, reliable, insightful Finance department with a good level of retention and development
- Create a strong financial awareness and understanding of financial control across the business
Person Specification
You will be a well-rounded finance professional, with at least 3 years' experience in a Finance Manager, Assistant Financial Controller or Financial Controller role. Ideally you will have worked across larger and smaller companies and had the right blend of being mentored and taking real responsibility.
- Experience of the hospitality sector is highly desirable, preferably leisure-oriented hotels
- CIMA / ACCA Qualified Accountant, finalist, or QBE
- Confident in forecasting and preparing budgets
- Hands-on payroll processing experience, ideally within a multi-site environment
- Experience of tronc administration is desirable
- Experience of working across a multi-entity, multi-site group
- Excellent IT skills
- Highly analytical and efficient in producing financial reports
- Excellent communication skills to liaise with Department Heads
- Strong team leadership, training and development skills
- Highly commercial and astute
- Good sense of humour
- High integrity & honesty
- Friendly and warm hearted
- Strong customer orientation
- Experience with Xero preferred
Benefits
- Incentive scheme
- 28 days paid holiday
- Preferential room rates*
- 25% staff discount on food and drink
- 25% discount on spa treatments and retail products*
- Free gym membership and discount for family and friends
- Professional development
*Subject to availability and eligibility
Pay: £50,000.00 per year
Work Location: In person