Finance Manager

St. Andrews, UK
24 Jul 2019
22 Aug 2019
Contract Type
Full Time
Finance Manager - 5 star Resort , St Andrews

Opportunity A rare and exciting opportunity has arisen for an experienced Finance Manager to join the business as part of our Executive team.

This is a fast paced, busy, and dynamic role where you would be able to make a significant impact to the profitability of the business by working closely with the revenue stream Managers and devising and implementing financial growth strategies.

Responsible for a team of 7, you will be an experienced manager with the ability to juggle priorities and undertake the following responsibilities:

• Analyse and quantify business activities and decisions in financial terms.

• Monitor headcount and salaries and wages spend, advising managers in the management of these.

• Keep financial records in accordance with UK GAAP, tax, legal and Kohler Co. requirements.

• Maintain the business' chart of accounts in a manner compatible with Kohler Co. requirements. • Maintain a timely documented balance sheet reconciliation process.

• Coordinate annual budgeting, financial planning and capital planning processes for the business and owner of the end product.

• Financial reporting for the business including monthly financial projection submission.

• Responsible for the development of the supporting staff, including knowledge transfer, coaching, constructive feedback and candid appraisal.

• Responsible for collaborating with Kohler EMEA SSC in respect of cash management of the business including customer collections, vendor payments and general cash requirements. • Maintain a perpetual inventory process for fixed assets.

• Provide strategic insight into the direction, design, report capabilities and development of systems and specifications.

• Overall responsibility for the product and service costing methodologies for the businesses. The primary focus of these methodologies is to enhance understanding of margin and overall profitable of business segments.

• Responsible for the monthly financial projections and the analysis of the income statement, cash flow, and balance sheet for the businesses serviced.

Skills/Requirements • Degree in the field of Accounting or Finance, MBA or CPA is preferred.

• A minimum of 3 years' experience in a similar role.

• Professional Accounting Qualification ACCA/CIMA/CA.

• Previous managerial skills.

• Strong communication skills. • Advanced MS Excel skills. • Working of knowledge of SAP is preferred but not essential.

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