This is a standout opportunity for a detail-oriented finance professional to accelerate their career within a globally recognised and growing business, gaining exposure to complex, multi-entity operations and high-impact reporting. Based in the outskirts of Edinburgh (hybrid working available), this role offers the chance to join a collaborative finance team supporting European operations within a dynamic and fast-paced environment. This role sits at the heart of financial reporting and control, supporting month-end processes, group reporting, and continuous improvement initiatives. You will work closely with senior finance stakeholders, contributing to accurate financial insights and driving best practice across processes. Prepare month-end management accounts and associated reporting Process payroll and sales adjustments Review and challenge finance journals prior to posting Upload PL, working capital and aged debtor data into the group reporting system and ensure reconciliation to the general ledger Review balance sheet reconciliations, including net sales Manage intercompany accounting across group entities Support budgeting, forecasting and planning cycles Track capital project approvals and expenditure Provide reporting, analysis and KPI tracking to stakeholders Assist with internal and external audits, maintaining a strong control environment Contribute to finance systems and process improvement initiatives Experience in a similar accounting or reporting role Strong systems knowledge and technical accounting capability High attention to detail, particularly across VAT and general ledger transactions Confidence to challenge and improve accounting treatments Competitive salary Hybrid working model Modern office environment with excellent transport links Career development within a growing global business Strong exposure to senior finance leadership and business partnering co.uk for a private and confidential discussion.