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Financial Controller – Dental Group
Remote Choice. Own the day-to-day financial control environment and ensure accurate, timely financial reporting .
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in financial control, reporting, and analysis, with a strong focus on budgeting, cash flow management, and compliance with UK accounting regulations. Proficient in developing financial dashboards and KPIs to support decision-making and drive profitability.
Highest-signal resume keywords
Financial ReportingBudgetingCash Flow ManagementUK Accounting RegulationsFinancial Analysis
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Financial ControlManagement AccountsP&L ReportingEBITDA AnalysisVariance AnalysisForecastingReconciliationVAT ReturnsStatutory AccountsKPI Development
Soft Skills
Analytical ThinkingCollaborationProblem-SolvingCommunication
Tools & Technologies
Accounting SystemsPractice Management Systems
Industry Keywords
Dental PracticesFinancial Due DiligenceSupplier PaymentsDebt CollectionPayroll Coordination
About the role
Key responsibilities & impact- Own the day-to-day financial control environment and ensure accurate, timely financial reporting
- Prepare monthly management accounts, reporting packs, P&L, balance sheet and cash flow reports
- Review financial performance, variances, risks, trends and opportunities across individual dental practices
- Provide practice-level financial reporting and analysis covering revenue, costs, EBITDA, profitability and dental business metrics
- Identify underperforming practices and work with Practice Managers on improvement plans
- Lead annual budgeting, rolling forecasts, cash flow projections and scenario modelling
- Oversee accounts payable, accounts receivable, credit control, supplier payments and debt collection
- Oversee payroll processes, review payroll reports and monitor staff, clinician and associate costs
- Reconcile practice management system revenue, banking, card payments, finance arrangements and accounting records
- Support statutory accounts, year-end processes, VAT returns, audits, tax advisers and financial due diligence
- Provide commercial finance support for pricing, profitability, marketing ROI, capital expenditure, acquisitions, new practices and expansion
- Improve finance processes, systems integration, automation, reporting speed, dashboards and KPIs
- Work with the Finance Director, Managing Director, Practice Managers and operational teams to support decision-making, profitability and sustainable growth
Requirements
What you’ll need- Experience and qualifications are not explicitly specified in the posting
- Ability to oversee financial control, reporting, accounts payable, accounts receivable, credit control, payroll coordination, management accounts, cash flow, budgeting and financial reporting
- Knowledge of UK accounting, tax and financial regulations
- Ability to work with accounting systems and practice management systems
- Ability to analyse financial performance, budgets, forecasts, cash flow, EBITDA and profitability
- Ability to reconcile practice management system revenue, banking, payment providers, merchant accounts and accounting records
- Ability to support VAT returns, statutory accounts, audits, tax advisers and financial due diligence
- Ability to develop financial dashboards, KPIs and standardised finance processes