Novumgen – the group of Entrepreneurs and Scientists. Novumgen is a diverse, integrated specialty pharmaceutical and biological company focused on investing, developing, manufacturing, and supplying innovative products that provide benefits to patients and prescribers. We are focused on delivering life-changing medicines that contribute safety and value to patients, healthcare institutions, and prescribers across the globe. As a company, Novumgen has made a lasting commitment to patient safety, introducing new products to our portfolio while maintaining unrivalled quality and exceptional service to the pharmaceutical industry. We are currently looking to recruit a Finance Manager, this role requires excellent knowledge and communication skills to ensure a smooth operation. The Company is on a growth trajectory, and we are looking for candidates who can work in a fast paced, busy environment. You will have an entrepreneurial mindset, be passionate about your work and want to make an impact. You will join a friendly, dynamic, and committed international team to deliver consistent results to tight deadlines. Job Summary The Finance Manager is a pivotal role within the organisation you will be responsible for ensuring the highest standards and will report to the Financial Controller. There is a lot of scope to grow and develop within your career. Responsibilities Financial Planning and Analysis Develop and manager annual budgets and forecasts. Analyse financial data to identify trends, variances and opportunities for improvement. Provide financial reports and insights to senior management to aid in decision-making. Accounting Operations Oversee the day-to-day accounting functions including accounts payable, accounts receivable, general ledger and payroll. Ensure accurate and timely financial reporting. Maintain and reconcile balance sheet, trial balance and income statement accounts. Compliance Controls Ensure compliance with local, state and federal regulations and standards. Develop and implement internal controls to safeguard company assets. Coordinate with external auditors and manage audit processes. Team Management Lead and mentor the accounting team across different country Foster a collaborative and productive work environment Conduct performance evaluations and provide ongoing training and development Strategic Initiatives Support strategic planning initiatives with financial insights and analysis. Participate in financial modelling and scenario planning for potential business ventures. Identify and implement system and process improvements to enhance efficiency and effectiveness. Cash Flow Management Monitor and manage company cash flow. Optimise working capital and manage debt obligations. Forecast future financial positions and plan accordingly. Audit HMRC, Tax Computation HMRC R & D Tax Claim Skills and Qualifications Qualified/working towards CIMA, ACCA qualification Strong Analytical skills Banking Experience Payroll calculation experience 5 years of experience in similar role Month end closing Experience SME experience (preferred) Commercial experience An eye for detail Advanced skills in Excel Personal Skills Enjoys change management, flexible, innovative, proactive, likes to work in a fast -paced environment, has a positive attitude, assertive, have a strong teamwork skillset