Join Markerstudy Limited as a Cash and Reporting Manager
(Peterborough /Hybrid 2 days per week on site) We're seeking a commercially minded
Cash and Reporting Manager
to join our finance team at Markerstudy, one of the UK's leading insurance businesses. This newly created position plays a vital role in bridging Finance, Treasury, and FP&A, driving better visibility, control, and performance of cash across the group. The Opportunity: As Cash and Reporting Manager you will: Lead the development of cash flow forecasts in collaboration with FP&A and Treasury
Analyse actual performance vs forecast, with a focus on working capital
Partner with business units to assess cash impact of investments and strategic decisions
Deliver insightful reporting and dashboards to senior stakeholders
Support month-end and year-end cash reporting
Champion process improvement and finance transformation projects
What You'll Bring ACA, ACCA, or CIMA qualification
Strong technical accounting background, ideally with
audit experience (Big 4 / top 10 preferably)
Proven ability in cash forecasting and performance analysis
Experience in large, regulated environments (insurance or financial services a plus)
Advanced modelling skills and comfort working with large data sets
Clear communicator with strong commercial awareness
Experience with Anaplan is desirable
Why Markerstudy? You'll join a collaborative and forward-thinking finance function where your work directly influences strategic decision-making. With a hybrid model and exciting scope to grow, this is your chance to make a real impact.
TPBN1_UKTJ