VANRATH are delighted to be working closely with a fantastic Healthcare company in helping recruit for a Finance Manager Reporting into the CFO, you will be responsible for the company's tax strategy, treasury policy and risk management.
Maximise your chances of a successful application to this job by ensuring your CV and skills are a good match.
What's in it for you? Excellent salary Bonus 3&2 hybrid Free parking Superb career progression Great benefits package on application About you: Qualified Accountant Post-qualification experience at financial accountant level in a manufacturing environment, or an acceptable equivalent.
Demonstrated experience working with clients with manufacturing and international operations and hands-on experience in preparing consolidated financial statements and reports in line with FRS 102 or IFRS.
Professional experience in preparing or reviewing tax computations, tax returns and a knowledge of deferred taxation.
Knowledge of PowerPoint, Excel, Word.
Successful track record in a busy working environment in the delivery of relevant, timely and accurate financial information including daily, weekly, monthly and quarterly accounts information and year-end financial accounts.
What you'll do: Taxation Formulating and implementing the group taxation strategy.
Liaising with finance managers, tax auditors and consultants on the preparation of the annual corporation tax computations and deferred tax schedules for the holding company and all subsidiaries.
Liaising with finance managers, tax auditors and consultants and HMRC (UK) and relevant tax authorities Coordination of the preparation of corporation tax and other tax returns for all Group companies Direction of the Group's Patent Box and R&D Tax Credit regimes Direction of the Group's Transfer Pricing policy Treasury Own the Group Treasury policy in the finance team.
Managing the Group's treasury function in accordance with Treasury Policy Directing the day-to-day banking relationships and the cash flow of the Group ensuring the Group's cash flow objectives are met.
Coordinating and managing the Group's currency policies in accordance with Treasury Policy.
Managing deposit accounts within the Group according to the Treasury Policy.
Enterprise Risk Management Lead the Enterprise Risk Management process Manage the Enterprise Risk management process for the group.
Business partnering with the risk owners, integrating new companies into the framework, formal implementation of an operational risk register and a regular update of the risk registers.
For further information on this vacancy, or any other Finance job in Northern Ireland, apply via the link below or contact ADRIAN HARRISON for a confidential chat today.
Skills: finance manager tax treasury risk ifrs Benefits: Work From Home