Our client is seeking a Finance Manager to be responsible for delivering timely and accurate monthly management accounts, as well as overseeing balance sheet and cash flow budgets and forecasts, ensuring all financial processes align with key deadlines. Key Responsibilities: Monthly Management Accounts: Prepare and review monthly accounts, meeting all reporting deadlines and providing accurate insights for senior management. Financial Control & Compliance: Oversee balance sheet reconciliations, maintain robust financial controls, and ensure compliance with reporting standards. Budgeting & Forecasting: Develop balance sheet and cash flow budgets and forecasts, facilitating effective financial planning. Cross-Departmental Collaboration: Represent Financial Accounts in cost meetings across departments and participate in finance projects and panels. Working Capital & Reporting: Conduct working capital analysis, generate aged debt and other essential financial reports, and provide flash reports to senior finance within set timelines. Statutory & Compliance Reporting: Prepare annual statutory accounts, VAT returns, and other statutory documentation, ensuring accuracy and compliance. Payroll & Staff Development: Oversee payroll operations, ensuring timely task completion, and organize staff training sessions as needed. Additional Contributions: Handle ad hoc reconciliations, forecasts, and other financial tasks as required to support senior management. If you’re looking to make an impact within a dynamic finance team and contribute to a company that values precision, collaboration, and growth, we’d love to hear from you Salary: £45-55k.