This role delivers core financial management for the Provide Community Equipment contract, covering budgeting, forecasting, cashflow, and monthly reporting. It supports operational teams with day ‑ to ‑ day financial guidance while maintaining accurate working papers, stock controls, and open ‑ book accounting for all London Boroughs. The position also produces financial reports, KPIs, and analysis to support decision ‑ making and new business opportunities, and contributes to month ‑ end, year ‑ end, and audit requirements to ensure strong financial governance across the contract.