We have an opportunity for an experienced Director, Financial Controller to join our business!
The Director, Financial Controller role will play a key role in supporting the CFO and the wider IRIS Group Finance department at a period of change and transformation. You will have a broad range of responsibilities including responsibility for the consolidated financial reporting of the IRIS Software Group, external audit, tax, credit control, cash and treasury functions insurance, interaction with lenders and investors and working alongside a finance & systems transformation.
You will be based out of our flagship office in Heathrow and report to the Chief Finance Officer and act as their deputy on all financial and credit control related matters.
Currently the business is working across multiple systems due to a high level of acquisition activity and this role will involve working with multiple systems and dispersed teams across the UK. You will lead a team across financial and credit control.
This role is best suited to a qualified accountant with previous experience in financial control roles, having led larger teams with primary responsibility for reporting, control, tax and audit, excellent communication skills and managing priorities and meeting deadlines in a fast-paced environment.
Lead the preparation of monthly consolidated financial schedules including P&L, Balance Sheet, and Cash Flow statements - along with insightful commentary for Board reports, investor updates, and quarterly lender reporting packs.
~ Oversee the preparation and accuracy of monthly cash flow forecasts, ensuring proactive financial planning and liquidity management.
~ Manage the production of both consolidated and stand-alone statutory accounts for multiple entities within the Group.
~ Supervise the preparation and timely submission of VAT returns, annual corporate tax filings, and R&D tax credit claims for the IRIS Group.
~ Act as the primary liaison with external auditors, ensuring a smooth and efficient year-end audit process.
~ Provide technical accounting guidance and support to the wider finance team, promoting financial integrity and compliance.
~ Champion process improvement initiatives, driving standardization, automation, and best practices across financial operations.
~ Serve as Group bank account administrator, overseeing access control and banking operations.
~ Maintain ownership of the finance risk register and Business Continuity Plan, mitigating financial and operational risks.
~ Ensure the Group Finance Manual is regularly updated, accessible, and aligned with current policies and procedures.
~ Conduct monthly variance analysis of actuals versus forecasts and budgets, identifying trends, risks, and opportunities.
~ Take a lead role in managing relationships with key external stakeholders—including investors, lenders, banks, and financial advisors—ensuring transparency and alignment on financial matters.
~ Act as a deputy to the CFO, providing strategic and operational support across a broad range of finance-related responsibilities.
~ Champion the learning and development of the wider finance team, fostering a culture of continuous improvement and professional growth.
~ Lead and manage a high-performing finance team of approximately 30 individuals, including both qualified and part-qualified professionals.
~ Oversee the credit control function, managing a team of around 20 staff to ensure efficient cash collection and effective debtor management
Recently operated as a Group level of Financial Controller in Software and/or SaaS business operating across multiple countries and/or continents.
Qualified accountant (ACA, ACCA, CIMA) with relevant PQE.
Experience in a Private Equity-backed environment, ideally in a high-growth business environment.
Strong understanding of SaaS business models, including metrics such as ARR, MRR, churn, CAC, LTV, and net revenue retention.
Demonstrated experience in scaling finance functions, particularly in tech or SaaS companies.
Proven track record in financial reporting, budgeting, forecasting, and cash flow management.
Experience in preparing financials for Board packs, lenders, and investors.
Hands-on experience with statutory reporting, audits, tax compliance, and VAT.
Experience managing and mentoring finance teams, including qualified and part-qualified staff.
High level of integrity, ownership, and a “roll up your sleeves” mindset in a fast-paced, agile environment.