The Business
Passenger is driven by a passion for escapism, connection, and the wellbeing of both people and the planet. As a fast growing brand in the outdoor sector, we create products that are 'made to roam' and embody a culture that embraces inclusivity and fosters a collaborative team environment. We’re looking for someone who shares our passion for protecting the planet while building something unique and authentic.
The Role
This is an exciting interim role (3-6 months) for a commercially minded finance professional ready to make an immediate impact. You'll work closely with our newly appointed CFO and Financial Controller, playing a pivotal role across financial reporting, year-end preparation, and FP&A during a critical period of growth. With new auditors on board and ambitious planning cycles underway, this is a hands‑on position where your expertise will genuinely shape the business.
Key Responsibilities
Month-End Reporting
* Partner with the Financial Controller to deliver accurate and timely month-end reporting
* Implement robust reporting and variance analysis to surface key business drivers
* Review and improve the month-end close process, identifying opportunities for efficiency
Year-End & Audit Readiness
* Support the FC in preparing a comprehensive year-end audit file
* Drive year-end reconciliations and process mapping in readiness for newly appointed auditors
* Ensure the business is audit-ready within tight timelines
Financial Planning & Analysis
* Support the CFO in embedding financial planning and forecasting across the business
* Build out year-to-go plans for key areas including logistics, operations, and marketing
* Own the revenue view, clearly articulating risks and opportunities
* Deliver margin analysis at both country and department level
* Partner with the merchandising team to provide visibility on stock, intake, cover, and required actions
* Identify and support the CFO in realizing cost opportunities
Compliance
* Support the FC on compliance and VAT matters as required
Process Improvement
* Map sales and stock operational processes to ensure revenue recognition aligns with accounting standards
* Develop a clear plan for stock reconciliation improvements and risk controls
* Review and document finance processes with the goal of achieving a faster close — pinpointing key blockers and opportunities
Projects
* Contribute to current strategic project work across the business
* Support cashflow forecasting and working capital management as required
What We're Looking For
You’ll be a qualified finance professional who thrives in fast‑paced, evolving environments. You’re equally comfortable diving into the detail and stepping back to think strategically — and you won’t wait to be told what needs fixing.
* ACA or ACCA qualified
* Experience in a DTC or fast‑growth, stock‑holding business
* Strong FP&A background with solid financial control and year‑end experience
* Demonstrable track record of process mapping and improvement
* Hands‑on experience with month‑end close, year‑end, audit, and statutory accounts
* Willing to roll up your sleeves and get into the detail — but able to zoom out when needed
* A natural problem‑solver with a results‑driven mindset
* Delivery‑focused and highly organised under pressure
* Comfortable navigating ambiguity, imperfect information, and evolving processes
Equal Employment Opportunity
All qualified applicants will receive consideration for employment without discrimination on the basis of race, colour, religion, sex, sexual orientation, gender identity, national origin, disability, or any other factors. Any applicant that believes they need reasonable accommodations to perform the duties of this role is invited to discuss this with us and let us know in your application.
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