Financial Controller – Dental Group

Posted 9 hours ago

This is a fully remote position, open to applicants in South Africa.

📋 Description

• Manage the daily financial control environment to guarantee precise and prompt financial reporting.

• Generate monthly management accounts, reporting packs, profit and loss statements, balance sheets, and cash flow reports.

• Analyze financial performance, variances, risks, trends, and opportunities for each dental practice.

• Deliver practice-level financial reporting and analysis, focusing on revenue, costs, EBITDA, profitability, and dental business metrics.

• Identify underperforming practices and collaborate with Practice Managers to develop improvement strategies.

• Lead the annual budgeting process, rolling forecasts, cash flow projections, and scenario modeling.

• Supervise accounts payable, accounts receivable, credit control, supplier payments, and debt recovery efforts.

• Oversee payroll operations, review payroll reports, and monitor costs associated with staff, clinicians, and associates.

• Reconcile revenue from the practice management system with banking, card payments, finance arrangements, and accounting records.

• Assist with statutory accounts, year-end processes, VAT returns, audits, tax advisory, and financial due diligence.

• Provide commercial finance assistance for pricing strategies, profitability analysis, marketing ROI, capital expenditures, acquisitions, new practices, and expansion initiatives.

• Enhance finance processes, system integrations, automation, reporting speed, dashboards, and key performance indicators (KPIs).

• Collaborate with the Finance Director, Managing Director, Practice Managers, and operational teams to facilitate decision-making, profitability, and sustainable growth.


⛳️ Requirements

• Experience and qualifications are not specifically detailed in the job posting.

• Capability to manage financial control, reporting, accounts payable, accounts receivable, credit control, payroll coordination, management accounts, cash flow, budgeting, and financial reporting.

• Familiarity with UK accounting, tax, and financial regulations.

• Proficiency in working with accounting systems and practice management software.

• Skill in analyzing financial performance, budgets, forecasts, cash flow, EBITDA, and profitability.

• Ability to reconcile revenue from practice management systems with banking, payment providers, merchant accounts, and accounting records.

• Capacity to assist with VAT returns, statutory accounts, audits, tax advisory, and financial due diligence.

• Proficiency in developing financial dashboards, KPIs, and standardized finance processes.


🏝️ Benefits

• Comprehensive benefits package.

• Opportunities for professional development and growth.

• Supportive work environment fostering collaboration and innovation.

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