VNI Finance is delighted to bring to market a newly created Finance Business Partner with our client in Glasgow. The role has been created to work closely with the Managing Director, with a focus on stock control, cash management, and with the aim of bringing finance closer to the wider business. This would suit a commercially minded individual who is keen to be part of a larger international group, who enjoys working across non-finance stakeholders. Role Overview: Prepare and analyse monthly, quarterly, and annual financial reports in collaboration with the accounting team. Manage liquidity, working capital, currency exchange and treasury operations to support business needs. Lead the budgeting process and financial forecasting, providing analysis and insight to support business strategy. Conduct variance analyses, budget vs. actual dashboard comparisons, and ad-hoc financial analyses. Provide financial insight and performance analysis to senior leadership to drive operational and strategic decisions. Support operational management with relevant performance insights and KPIs Collaborate closely with business departments (e.g. Trading, Production, Logistics, Procurement) to identify and drive performance improvements. Candidate Background: 3–5 years of relevant professional experience in financial controlling, ideally in a manufacturing or international (multi-currency) trading environment. Strong understanding of operational/trading processes and their financial implications. Solid experience with ERP, BI tools and finance systems (e.g. Sage) and advanced Excel skills. Proactive, analytical mindset with a hands-on approach and strong implementation skills. Strong communication skills and a collaborative, business-oriented attitude Package: £50,000-£58,000 Flexible working 1:30pm finish on a Friday 9% Company pension contribution 35 days annual leave For more information, please get in touch with John Ramsay at VNI Finance- (url removed)