Job Ref: AM14119 Branch: Klarent Hospitality Head Office Location: Klarent Hospitality, Glasgow Salary/Benefits: Competitive Salary Contract type: Permanent Hours: Full Time Hours per week: 40 Posted date: 07/03/2025 Closing date: 09/04/2025
Klarent Hospitality operates branded hotels in key locations across the UK and Ireland. We will nurture talent and smart investment to drive superior performance and growth.
We have an exciting opportunity for someone to join our Corporate Finance team as Corporate Finance Manager based in our Head Office in Glasgow City Centre. This is a key hire for the business and the individual will be integral to several high-profile projects as Klarent Hospitality continues to grow.
The Role :
Reporting directly to the Head of Corporate Finance, the Corporate Finance Manager will be responsible for:
* Capex Reporting – monitoring capital spend against approved project budgets and preparing monthly capex reports for key stakeholders.
* Cash Flow Forecasting – prepare monthly cash-flow forecasts to support efficient liquidity management including recommendations for required funding actions.
* Capital Management – prepare funding proposals for submission to lenders or investors and ensure such proposals are consistent with cash flow forecasting.
* Bank Reporting – preparation of quarterly bank reporting, including covenant testing and any other required disclosures.
* Financial Modelling – ongoing management of Klarent’s projections model and providing input into Henderson Park’s investment models when required.
* Insurance Management – build relationships with third-party insurance brokers and lead annual insurance renewal cycle, including provision of all required information on a timely basis.
* Risk Register - Take ownership of Klarent’s Risk Register, liaising with key stakeholders to keep the register updated. Build a Key Risk Dashboard for performance tracking and onboard any new hotel investments into the register.
* Special Projects - Support with any other corporate finance activity, including ad-hoc financial analysis, as and when required.
The Ideal Candidate:
* Previous experience in any of the following areas: Corporate Finance, Capital Projects, Real Estate or Infrastructure Investment/Advisory.
* Highly proficient in Financial Modelling/Financial Planning & Analysis.
* Cash Flow Forecasting/Liquidity Management/Debt Management experience.
* Qualified Chartered Accountant ("CA") or Chartered Financial Analyst ("CFA").
* Ambitious, seeks new challenges and adopts a growth mindset.
* Ability to work to tight deadlines and remains calm under pressure.
We offer our employees excellent opportunities to grow and develop within the Klarent Hospitality Group Brand Portfolio, we pride ourselves on ensuring that our staff are rewarded and recognised for their hard work, commitments, and long service.
* Stays in our hotels at discounted prices or
* Even free stays in our hotels as one of our rewards & recognition incentives,
* Opportunities for your personal development within the Hotel Group Brand Portfolio
* Annual Holidays entitlements inclusive of Bank Holidays
* Opportunity to buy additional holiday entitlements - T&C's apply
* Pension enrolment
Klarent Hospitality is a leading hotel investment and management company.
We currently manage a portfolio of 30 hotels in the UK and Ireland trading under prestigious, international brands such as Hilton, Hilton Garden Inn, DoubleTree by Hilton, Mercure and Ibis Styles.
Klarent Hospitality was established in 2015 and we have a proven track record in delivering operational excellence, exceptional customer experiences and superior performance through people development, active management and smart investment.