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Baker Charles

Baker Charles

www.bakercharles.com

3 Jobs

16 Employees

About the Company

Baker Charles is a finance recruitment consultancy which is built on integrity and delivery. We believe with these two core values, we can build trust with you and develop long term relationships. We have extensive expertise and knowledge within our market to grow our partnership with you to achieve our goals. The reputation of its employees have been built over many years on transparency, engagement and success.

It is our aim to always exceed your expectations by adding value as either a candidate or client by providing a service which is engaging, insightful and market leading. We are passionate about listening to your needs and caring about what is the right decision for you.

Our clients range from SME's, medium sized businesses and blue chip multinational corporations. We have the experience, expertise and flexibility to provide a bespoke service for whoever we deal with.

We would be keen to hear from you at Baker Charles. Please call our Head Office on +44 (0)20 7082 8260 or email us at info@bakercharles.com

Listed Jobs

Company background Company brand
Company Name
Baker Charles
Job Title
Financial Planning and Analysis Manager
Job Description
Job title: Financial Planning and Analysis Manager Role Summary: Senior FP&A leader responsible for owning budgeting, forecasting, and long‑term planning cycles for a high‑growth technology scale‑up. Develops and maintains detailed financial models, drives scenario analysis, and delivers executive‑level performance reports while partnering across finance, treasury, and business units to shape strategy and expansion initiatives. Expectations: • 5+ years of post‑qualification FP&A experience in fast‑paced, high‑growth environments (technology, digital or fintech). • Proven track record of building forward‑looking P&L, balance sheet, and cash‑flow models in Excel and planning platforms. • Ability to influence senior leadership, challenge assumptions, and cultivate a forecasting culture. Key Responsibilities: • Own budgeting, forecasting, and long‑range planning processes. • Build and maintain dynamic financial models (P&L, BS, CF) in Excel and Anaplan. • Conduct scenario analysis on revenue, unit economics, credit, costs, and liquidity. • Support market launch and international expansion planning. • Prepare high‑quality monthly/quarterly performance reports for senior leadership and the Board. • Enhance KPI dashboards, data integration, and automated reporting. • Align FP&A outputs with Treasury, Financial Reporting, and Strategic Finance functions. • Model new product initiatives, commercial deals, and strategic projects. • Identify and implement workflow automation, process improvements, and control enhancements. • Champion wider tool adoption and data ecosystem optimization. Required Skills: • Advanced financial modelling and analytical skills. • Strong Excel proficiency; experience with Anaplan or similar planning tools. • Excellent communication and presentation abilities for senior stakeholders. • Comfortable working in complex, data‑rich environments; collaborative cross‑functional mindset. • Banking and liquidity or cash‑flow forecasting knowledge is highly advantageous. Required Education & Certifications: • Qualified accountant (ACA, CIMA, ACCA or equivalent). Prior FP&A experience in a high‑growth setting.
London, United kingdom
Hybrid
09-12-2025
Company background Company brand
Company Name
Baker Charles
Job Title
Interim Financial Controller
Job Description
Job Title: Interim Financial Controller Role Summary: 6‑month fixed‑term, hybrid role with an immediate start, responsible for overseeing all day‑to‑day finance operations, including month‑end close, management reporting, budgeting, and statutory compliance, while steering the finance team and supporting business growth initiatives. Expectations: Deliver accurate, timely financial information to senior leadership, maintain robust controls and audit readiness, and collaborate cross‑functionally with commercial, production, and operational units. Act autonomously in a fast‑moving, scaling media environment. Key Responsibilities: - Own and execute the monthly close, management accounts, and balance‑sheet integrity. - Prepare and present monthly management reports, variance analysis, and commentary to senior leadership. - Lead budgeting, forecasting, and cash‑flow planning cycles. - Oversee statutory accounts, audit processes, and coordination with external advisors. - Implement and enforce financial controls, policies, and regulatory compliance. - Partner with commercial, production, and operations teams to provide financial insight for decision‑making. - Review, refine, and scale finance systems, processes, and reporting frameworks. - Mentor and develop junior finance staff, where applicable. - Execute ad‑hoc projects related to growth initiatives, new revenue streams, and strategic planning. Required Skills: - Strong technical accounting and financial control expertise. - Commercial acumen with ability to translate financial data into actionable insights for non‑finance stakeholders. - Proactive, detail‑oriented, and comfortable working autonomously in a dynamic, scaling business. - Excellent communication, stakeholder management, and teamwork abilities. Required Education & Certifications: - Qualified accountant (ACA, ACCA, CAANZ, or equivalent). - Relevant experience in media, creative, content, or similarly fast‑paced commercial environments.
London, United kingdom
Hybrid
19-01-2026
Company background Company brand
Company Name
Baker Charles
Job Title
Financial Analyst
Job Description
Job title: Financial Analyst Role Summary: Deliver high‑quality financial and commercial analysis for a construction firm, supporting senior finance leadership with robust internal/external reporting, financial control, and joint venture activities. Expactations: Qualified or recently qualified ACA, ACCA, or CIMA accountant; advanced Excel proficiency; exceptional analytical capability; strong attention to detail; ability to meet tight deadlines; clear communication to non‑finance stakeholders. Key Responsibilities: • Produce management accounts and maintain control over balance sheet and cash flow. • Compile joint venture reports, perform debtor analysis, and manage subsidiary financial statements. • Contribute to half‑year and year‑end external reporting. • Develop forecasting and performance analysis to support business decision‑making. • Identify and implement continuous improvement initiatives for systems, processes, and data quality. Required Skills: Advanced Excel, financial analysis and reporting, data interpretation, problem‑solving, deadline management, stakeholder communication, teamwork. Required Education & Certifications: ACA / ACCA / CIMA qualification (qualified or recently qualified).
London, United kingdom
Hybrid
18-02-2026