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Finance Manager (Hybrid working)

Page Personnel
Closing date
22 May 2022

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Contract Type
Full Time
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I currently have an exciting opportunity available for a Finance Manager to join one of my clients in Reading on a temporary contract. If you are Part Qualified/QBE and available immediately or on short notice then this could be a great opportunity for you.

Client Details

A charity based in Reading who have an enjoyable working culture and a positive team-focused environment. They are able to offer hybrid working and a supportive training process.


Preparation of monthly and annual management accounts and forecasts
Monitor grants, contracts, restricted and designated funds
Weekly bank reconciliations, cash flow statements and forecasts
Monthly balance sheet reviews and reconciliations including accruals, prepayments
Sales, costs, margin, movement and variance analysis
Budgetary control of all services and cost centres liaising with budget holders
Ensure accuracy completeness and currency of receivables and payables
Maintain robust and fit for purpose purchases and sales invoicing processes
Oversee monthly timesheets (hours) analysis, payroll, PAYE and pensions
Manage annual statutory audit and production of statutory accounts
Supervision and mentoring of 3 finance staff, covering for them in their absence
Assisting with cost analysis, pricing, planning, budgeting and systems improvement
Trouble shooting and resolving disputes, errors or system related issues
Identify and resolve or highlight operational issues affecting financial processes
Work to clear deadlines
Maintain robust financial controls adhering to company policies and procedures
Assist with development of financial policies and procedures
Produce ad hoc financial analysis and reports for CFO and SLT
Monitor insurance and lease contracts with brokers and landlords respectively
Maintain complete and up-to-date fixed assets register
Assist in the implementation of new systems and processesProfile

Part Qualified or Qualified by Experience
3 years+ experience of:
Producing monthly and annual management accounts
Budgetary control, variance analysis reporting
Managing payables, receivables, bank reconciliations and payroll
PAYE, NIC, pensions processes and deadlines
Balance sheet reconciliations
Assisting with analysis, planning, budgeting and forecasting
Quickbooks (or similar), Excel (pivot tables, vlookups etc.), Office
Systems improvement and new systems implementation
Health and social care setting or within the charitable or public sectorJob Offer

Flexible working
Hybrid/Working from home
Team working culture
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