Group Finance Manager

Recruiter
Michael Page Finance
Location
Abingdon, UK
Salary
Competitive
Posted
03 Oct 2019
Closes
30 Oct 2019
Ref
1269000463
Sector
Accountancy
Contract Type
Permanent
Hours
Full Time
The is a rare and exciting opportunity to work for this exceptional Business as Group Finance Manager. The role has become vacant through an internal promotion and will be based at the Company head quarters near, Abingdon.

Client Details

Michael Page are delighted to be exclusively partnering this exceptional Business in their search for a talented Group Finance Manager. The position has become available through an internal promotion and is an opportunity for a driven and an ambitious finance professional to join this very impressive Business.

The Company has a long standing reputution that focusses on quality and customer satisfaction centricity.

Description

Working for the Director of Accounting, Tax and Treasury to ensure group reporting is made in a timely manner and in compliance with relevant legislation (Companies Act, IFRS and FSA rules). In particular production and analysis of the monthly management and interim and final statutory accounts to include:
  • Consolidation, including consolidation entries and maintaining the Cognos Controller system
  • Reviewing the figures to identify and resolve any issues identified, liaising with colleagues across the Group as appropriate
  • Preparation of the Group's Interim and Full Year Financial Statements
  • Consolidation of monthly forecast, annual strategic plan and budget.
  • Preparation of covenant compliance certificates for the group's bankers.
  • Preparing standard and ad-hoc reports for the Board and/or Senior Management.
  • Working with businesses to shorten reporting periods.
  • Preparation of UK company and dormant subsidiaries statutory accounts.
  • Completion of UK/US statistical returns.
  • Provision of additional financial analysis information as required.
  • Supervising the treasury settlement function and reporting on foreign exchange variances. Assisting the Group Director of Accounting, Tax and Treasury in the efficient management of foreign currency and cash/debt positions.

Overseeing head office accounts including:

- preparing annual budget and 5 year strategic plan

- monitoring performance against budget including periodic review of general ledger

- supervision of head office assets eg cars
  • Performing other projects on an ad-hoc basis.
  • Supervise junior Accountants on a day to day basis in particular deploying them effectively to assist with the above tasks.
  • Working with Group Finance, HO teams and businesses to understand and address specific business issues

Profile

High Calibre Graduate. Recently qualified ACA with first time passes.

Qualified accountant currently working in practice or in a similar role in industry.

Experience in audit/financial reporting.

Computing skills: Excel expertise and Powerpoint competence essential

Job Offer

Competitive salary

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