Finance Manager

Recruiter
SVC Group Ltd
Location
Colchester, UK
Salary
Competitive
Posted
04 Aug 2019
Closes
03 Sep 2019
Ref
1226491161
Sector
Accountancy
Contract Type
Permanent
Hours
Full Time
Fantastic opportunity has arisen to join a Colchester based company as a Finance Manager.

Main Purposes of the Job:

Responsible for financial and operations control, ensuring that the Company has regular financial information that supports the business.
As part of the management team advise and recommend management actively on financial and commercial performance and other key performance indicators.
Perform analysis and bench marking of any kind to support the management team in its decisions and to monitor progress.
Manage the finance department.

Main Responsibilities and Accountabilities:

To produce monthly management accounts using information on the database and other sources so that the owners have a full assessment of the Company's financial performance.
To assist with annual and statutory accounts using information on the database and other sources, to meet UK legal requirements.
To carry out the reconciliation of the nominal ledger by checking the entries balance so that the production of the Company accounts can be completed.
To give information pertaining to pay and other financial matters to the Company processing its payroll, to ensure correct salaries are calculated and paid on time.
To oversee the work undertaken by the financial department by undertaking quality assurance checks, so that accuracy is maintained.
To administer the Company credit cards, and the Company employee benefits
To have line management responsibility for all employees in the financial team and ensure they carry out their work in the prescribed manner
To handle the commercial tax affairs on behalf of the Company and individuals within the Company, giving advice, meeting with the auditors in order to satisfy the UK legal requirements.
To be the main liaison to the external auditor and prepare yearly interim and year end audits.
To prepare & agree monthly sales and cash forecasts

Other Responsibilities and Accountabilities:

Stock control, inventory versus G/L and reconciliation of purchases.
To maintain and improve all financial related processes within the company, continually seeking ways to improve productivity.
To analyse monthly Sales and Commercial performance and help management with defining key performance indicators, monitoring performance, and setting targets.
To review and authorise sales invoices.
To analyse prices and assist the MD in setting price and margin policy.
To oversee any purchase ledger queries, assisting with queries.
To be responsible for salaries and online banking payments.
To manage the administration concerning sales portfolio changes in the various systems.
To oversee the delivery of Personnel activities, in particular covering payroll, holiday entitlement, etc
To produce waste declarations. Prepare information for VAT, HMRC and National Statistics.
To maintain and update sales/cost prices and price lists.

You must be Accounts Qualified

Have excellent Excel skills,be highly analytical, proactive, great communication skills both written and spoken.

Hours Monday to Friday 9.00 am to 5.00 pm
Pension and health plan
20 days holiday plus bank holiday
Parking on site

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