Brother Marcus
Finance Manager

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Finance Manager
LOCATION: London (Support Office) with potential national expansion
PACKAGE: £50,000–£60,000 + LTIP + annual bonus (depending on experience)
REPORTS TO: Head of Finance
DEPARTMENT: Finance
About the Company
Brother Marcus is a founder-led, award-winning Eastern Med all-day dining restaurant group with 8 London restaurants, a new standalone bar concept, and plans to grow to 12+ sites in the next 2–3 years. As we enter this next phase of growth, strong financial control, commercial insight and scalable processes are critical.
About the Role
We are now looking to hire a Finance Manager to take ownership of the day-to-day finance operations, sharpen our reporting and controls, and act as a genuine commercial partner to our restaurants and support office teams. The Finance Manager will run the finance engine of the business — month-end, payroll, payments and compliance — while supporting strategic decision-making as we scale. This is a hands-on role suited to someone comfortable in a fast-paced, multi-site environment with evolving requirements.
The role reports into the Head of Finance and works closely with site General Managers, the support office teams, and our external advisors. For the right candidate there is a clear development pathway towards a Head of Finance role as the business grows.
Responsibilities
Our outsourced accountants and payroll providers carry out the day-to-day processing of our management accounts, payroll and supplier payments. This role owns the oversight, review and control of that work — making sure it is accurate, on time and fit for decision-making — rather than doing the heavy processing.
Financial Reporting & Control
- Oversee the month-end close and review the monthly management accounts prepared by our outsourced accountants, coordinating timelines and inputs to keep the process on track
- Review and challenge their first-draft accounts, and deliver clear month-end analysis and commentary to support commercial decision-making
- Review and maintain oversight of the balance sheet reconciliations, supplier statements and internal schedules prepared by the outsourced team
- Ensure data integrity across our finance systems (Xledger) and that underlying records are accurate and complete
- Support year-end and audit processes, liaising with external accountants and advisors
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Operational Finance
- Oversee the weekly payment run — reviewing the supplier payments prepared by our outsourced accountants and preparing them for Head of Finance authorisation
- Oversee the day-to-day payroll, pension and bonus process run by our outsourced provider — ensuring each pay run, pension contribution and bonus calculation is accurate, complete and on time, ready for Head of Finance authorisation
- Review and resolve payroll queries, maintaining accurate records and related reporting (e.g. holiday, accruals, headcount)
- Maintain accurate COGS, GP, margin and labour tracking in collaboration with operations and kitchen teams
- Maintain weekly cash tracking and feed accurate inputs into the rolling cashflow forecast, and support the weekly trading packs
Compliance & Statutory Requirements
- Oversee VAT returns and statutory accounts prepared by our outsourced providers, ensuring they are accurate and delivered on time
- Ensure compliance with all relevant statutory, HMRC and regulatory obligations
- Implement and maintain robust controls around expenses, purchasing, invoicing and payments
Commercial & Cross-Functional Support
- Act as the finance business partner to site General Managers and support office teams (Ops, People, Marketing, F&B)
- Help GMs own their site P&L, labour and COGS, and turn the numbers into clear actions that drive performance and cost control
- Assist the Head of Finance with budgeting, reforecasting and scenario planning, contributing site-level inputs and analysis
- Identify and implement process improvements to increase efficiency and scalability as we grow
- Embrace AI and automation to streamline reporting, reduce manual effort and free up time for higher-value analysis
- Support ad-hoc projects across new site openings, operations and central functions as required
What We Offer
A competitive package with real growth ahead
£50,000–£60,000 (depending on experience), plus LTIP and annual bonus. We want someone who sees this as a long-term move, with genuine headroom to grow toward Head of Finance as the business scales. We offer a range of benefits including enhanced maternity and paternity, discounts, private medical insurance and the YuLife wellbeing app, amongst others.


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A strong, experienced SLT and engaged founders
You'll be surrounded by an impressive leadership team with backgrounds from some of the most successful businesses in the sector, who drive getting better as we get bigger — and who'll be there to guide your development and success.
Autonomy with real accountability
You'll be trusted to own your area and your outcomes, make decisions and work in your own style, anchored in the Brother Marcus philosophy and values — with clear expectations, proper support, and accountability.
A people-first business that still performs
We believe in making the right decisions, not the easy ones — developing our people, delivering great experiences for team and guests, and ultimately running great restaurants. We have fun taking things seriously and are serious about having fun. We have high standards, move fast, and enjoy the work. We try to get away to the East Med once a year, have great social events, and you'll get 100% discounts in the restaurants so you can enjoy the success of your work.
Skills & Experience Required
- Qualified or part-qualified accountant (ACA / ACCA / CIMA or equivalent), or qualified by experience
- Proven experience producing high-quality management accounts and month-end analysis, ideally in hospitality, retail, multi-site or another fast-growth environment
- Strong technical accounting knowledge and a financial-control mindset, with robust attention to detail
- Commercially minded and hands-on, comfortable operating in a fast-paced business without heavy structure
- Confident communicator who can explain financial information clearly to non-finance and operational teams
- Comfortable managing outsourced providers and juggling multiple priorities and deadlines
- Strong Excel skills; experience with a cloud finance system (Xledger preferred; Xero / NetSuite or similar also relevant)
- Highly organised, proactive and resilient, and genuinely enjoys a people-first hospitality environment
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