We are seeking an immediately available, experienced Interim Financial Modeller to support a business through a transition to new financial reporting models. This role will work closely with finance and wider stakeholders to streamline existing models, refresh and update all the excel financial models for P&L, Balance Sheet and cashflow. This is a hands-on role suited to a confident, technically strong modeller who can drive practical improvements at pace.
Competitive day rate on offer, with the opportunity to work remotely for duration of the contract.
Key Responsibilities:
Refresh, develop and maintain robust financial models to meet regulatory requirements.
Analyse financial data to support decision-making processes within the Accounting & Finance department.
Review, rationalise and streamline existing financial models across the business
Design and build integrated financial models covering P&L, Balance Sheet and Cash Flow
Support the development of a consolidated financial reporting pack across the business
Collaborate with internal stakeholders to gather data and provide insights.
Partner with the finance team to ensure models align with reporting requirements and business needs
Document model logic, assumptions and processes to support handover and future useCandidate Profile:
Proven experience in building and maintaining complex financial models (P&L, Balance Sheet and Cash Flow)
Advanced Excel skills, including strong model structuring and best-practice techniques
Demonstrable experience with inter-company
Strong analytical skills with a high level of attention to detail
Ability to work independently in an interim environment and deliver outcomes to tight timelines
Strong communication skills, with the ability to work effectively with stakeholders across the business
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