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Brightstar Hospitality is a rapidly growing hotel management company with expertise in branded and independent hotels. We work with international brands and unique hotels to ensure their success in local markets.
We seek an experienced Group Finance Director to join our senior leadership team and support our growth. This role offers an excellent opportunity to be part of a dynamic company with strong expansion plans.
The ideal candidate should have proven experience in hotel and corporate accounting within a hotel management company.
Group Finance Director
The Group Finance Director is responsible for overseeing and managing the financial operations of the organisation, ensuring financial targets are met, risks are managed, and robust financial controls are in place. As a key member of the senior executive team, you will work closely with senior leadership and board to shape and execute financial strategies aligned with the overall goals of the organisation.
This role encompasses both operational and corporate finance, including audit and controls, statutory and regulatory compliance, stakeholder relations, banking and debt facility management. You will lead the group’s finance function, lead the procurement strategy and serve as the Data Protection Officer for the group.
Key Responsibilities
Operational Finance
1. Set and manage the strategic direction of the finance function, driving consistency and continuous improvement in financial performance and reporting.
2. Oversee the performance of third-party accounting partners, auditors, and decentralised finance teams.
3. Strengthen internal control frameworks across all group properties, including identification and mitigation of financial and operational risks.
4. Develop and implement financial strategies to support the company’s long-term objectives and provide data-driven recommendations to the Board.
Financial Reporting, Budgeting & Analysis
1. Lead the preparation of accurate, timely financial statements (monthly, quarterly, annual).
2. Conduct financial analysis to highlight trends, variances, and opportunities for improvement.
3. Coordinate annual budgeting and forecasting processes across the group; monitor and report performance against targets.
4. Deliver clear and actionable financial reporting and insight to the board and stakeholders.
5. Lead annual business planning, budgeting, and forecasting processes.
Procurement
1. Lead and optimise the group’s procurement strategy, ensuring efficient, cost-effective sourcing of goods and services across all hotels.
2. Collaborate with hotel operations and key suppliers to standardise purchasing practices and enhance value through strategic procurement initiatives.
Policies, Compliance & Controls
1. Develop and enforce financial policies, procedures, and controls that ensure the financial integrity of the company.
2. Ensure compliance with internal policies and external regulations, including HMRC, Companies House, and other statutory bodies.
Cash Flow Management
1. Manage working capital and cash flow across the business.
2. Implement cash forecasting and liquidity monitoring systems.
3. Oversee accounts receivable and payable processes to optimise cash cycles.
4. Support funding and capital-raising initiatives for new development projects.
Finance Technology & Process Innovation
1. Ensure finance systems and processes remain efficient and aligned with current best practices and technology.
Support for Operations and Business Development
1. Provide ongoing financial support and insight to operational teams (including during QBRs) and business development activities.
2. Deliver proactive analysis of revenue and costs to maximise profitability and identify risks early.
3. Oversee accuracy of hotel ledgers (guest, sales, deposit) and lead on discrepancy resolution.
4. Monitor compliance with procurement procedures, pricing contracts, and accrual management.
5. Support onboarding of new hotels, integrating financial procedures and systems effectively.
6. Conduct periodic finance audits and report findings to the Board.
Corporate Finance
1. Manage the companies banking requirements and relationships.
2. Manage lender relationships and ensure covenant compliance across all debt facilities.
3. Provide analytical insight and high-quality financial reporting to inform strategic decisions at Board level.
4. Liaise with tax advisors on planning and compliance, ensuring accurate and timely filings.
5. Oversee cash flow on a daily basis and produce regular board reports with recommendations.
6. Manage and enhance the month-end and year-end reporting process, ensuring timely and accurate board packs.
Key Skills & Qualifications
1. Fully qualified accountant (ACCA, CIMA, or equivalent).
2. Extensive senior-level finance leadership experience.
3. Excellent communication and interpersonal skills.
4. Strong analytical capabilities and attention to detail.
5. Proactive, hands-on leadership style with a strategic mindset.
Seniority level
Executive
Employment type
Full-time
Job function
Finance and Sales
Industries
Hospitality
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