Finance Manager

7 days left

Recruiter
PPL - Parking Partners
Location
London
Salary
30000.0000
Posted
02 Feb 2017
Closes
02 Mar 2017
Sector
Accountancy
Contract Type
Permanent
Hours
Full Time

Finance Manager

Posted Today by PPL - Parking Partners

·South East London, London

·Permanent, full-time

·Salary negotiable

·0 applications

Accounting, audit, administration, development, Central London

PPL is a creative problem solving small business that advises on and operates major parking and related facilities largely in London. We are looking to employ someone to help run our parking management business that is already run to very high standard of audit and to use their financial and reporting skills to deliver and develop our site management and client reporting and provide analysis for consulting clients.

This role involves opportunities to work on many of the country’s largest and most interesting property schemes and reporting directly to many of the most highly regarded companies in the sector. We seek to maximise clients’ asset performance by auditing existing performance and offering alternatives to adopt.

You may be Qualified / Part Qualified accountant but attitude and an ability to demonstrate excellent technical accounting ability and strong Excel skills and commercial awareness is the requirement.

Principal Responsibilities:

· Preparing monthly reporting packs on management locations

· Supporting the consolidation of financial information for Head Office

· Developing system reports & streamlining of month-end processes

· Preparation and submission of quarterly Vat returns.

· Budget & forecast preparation & production of associated schedules

· Identification of control weaknesses and recommendations for process improvement.

· Undertaking operational and technical analysis and creation of formats.

· Review property locations and large and complex data sets and draw conclusions

· Supporting work on business tenders

· Accounts payable and receivable.

· Maintaining both sales and purchase ledgers.

· Monthly Management Reports

· Payroll and Payroll Administration

· Supporting work on business tenders

· Supporting the preparation of annual statutory accounts & statutory obligations including VAT, Corporation Tax & legal compliance

· Proving profit and loss analysis for all expenses.

· Maintaining both sales and purchase ledgers.

· Undertaking inter-company reconciliations.

· Allocating and processing payments including BACS and Cheques.

· Reconciling bank and supplier statements.

Skills required:

· Outstanding communication skills, through numeracy and language.

· Able and prepared to communicate in business written English and verbally

· Exceptionally well organised and a focus on hitting deadlines.

· Diligent and systemised in managing tasks

· Possess excellent IT and advanced Excel skills

· Hands on and flexible

· Good communication skills with non-finance staff

· Maybe Qualified / Part Qualified ACCA/CIMA/ACA/AAT (or overseas equivalent)

· Self-Starter

· Resilient and Resourceful

This is an excellent opportunity to work with outstanding client companies and in a small business working closely with the Directors.

We offer an exceptionally open culture of entrepreneurship, married with absolute responsibility, integrity and trust. This extends to our client relationships as well as within our teams.

Our offices are easily accessible between Vauxhall and Waterloo but flexibility in work locations will be required.

Salary will reflect ability and experience.

To apply, only those who provide up to 500 words explaining why you are interested in this job with their CV will be considered.

Applications welcomed ASAP. Potential for immediate start.