Job Location : Bretton, UK
Join Markerstudy Limited -
Cash and Reporting Manager
(Peterborough /Hybrid 2 days per week on site)
We’re seeking a commercially minded Cash and Reporting Managet 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 OpportunityAs 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
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.
Salary : -
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