Finance Manager

Redmill Resourcing
Edinburgh Technopole
14 Apr 2018
16 May 2018
Contract Type
Full Time

Redmill Consulting’s client is a leader in their field and is currently looking for a Finance Manager for an exciting permanent position. This role will give you full responsibility for finance in the UK. You will be responsible for all aspects of cash receipt & payment cycles, payroll and compliance functions, and the reporting of financial results. Given some exciting plans for the business this is a great time to join the team.


• Strong growth plans
• Market leader
• Strong financial footing
• Working in a varied role
• Flexible working hours
• Excellent salary & benefits including, bonus, pension, medical & critical illness cover


The job of Finance Manager will give you the opportunity to be involved with the following:

• Checking, coding and processing all vendor invoices (GBP/EUR/USD)
• Processing PO invoices - ensuring accruals match
• Mid and end month payment runs
• Expenses – checking, processing and paying
• Monthly payment of AP invoices to US entity
• Allocating cash receipts to AR cards
• Processing credit card receipts from customers
• Credit control (GBP/EUR)
• Allocating all receipts (including credit cards) and payments (3 bank accounts GBP/EUR/USD)
• Allocating payroll journals (UK/NL/DE)
• Bank transfers to US
• Monthly paying down of intercompany loan
• Balancing cash book to bank balance
• Banking cheques
• Responsible for payroll administration - P11d’s & PSA’s, pension contributions
• Submission of any UK expenses (internet/mobiles)
• Month end processing and reconciliations through financial statement preparation
• Quarterly VAT returns and submission
• Monthly EC Sales/Intrastat
• Liaising with Auditors
• Dealing with tax queries
• Liaising with insurance brokers


As Finance Manager you will be skilled and/or qualified in the following:

• Capable of carrying out most of the duties listed above
• Demonstrable experience of working in a hands-on environment, ideally with an SME is essential
• Applications from Part-Qualified, Qualified or QBE candidates are welcome
• Strong understanding of general accounting principles
• Knowledge of the preparation of management accounts, budgets, forecasting and audits
• Strong knowledge of MS Excel including pivot tables & lookups
• Extremely strong writing skills
• Ability to travel to the corporate office and other business-related events in the United States as needed
• Experience working with a US owned company would be advantageous
• Extremely sound customer service skills
• Bilingual in German and English would be a major plus

Should this role be of interest please apply by attaching your most up to date CV. Alternatively, for a confidential discussion about the role please contact one of our specialist Consultants.

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