Are you a newly qualified or finalist Finance Manager looking to make your mark in the vibrant world of creative production? Join our dynamic team in London, where you'll play a key role in supporting financial strategy, enhancing processes, and working closely with our creative minds to drive growth. If you're passionate about numbers and thrive in a fast-paced, collaborative environment, this opportunity is perfect for you As the Finance Manager you will be responsible for monthly management accounts as well as ensuring the smooth running of the finance function, reporting directly into the Financial Controller. This role is offered on a hybrid basis which is 3 days in the office and 2 from home. Key Responsibilities: Conduct monthly margin analysis to evaluate project profitability and identify variances. Recommend strategies to enhance profit margins based on analysis. Review and ensure the accuracy and completeness of monthly balance sheet reconciliations. Identify and resolve discrepancies to maintain the integrity of financial statements. Oversee the production and distribution of artist monthly statements Ensure statement accuracy and address any issues with internal and external stakeholders. Prepare month-end financial reports, including income statements, balance sheets, and cash flow reports. Offer insights into financial performance, focusing on key metrics and trends. Lead a team of two direct reports, overseeing day-to-day finance operations to ensure accurate, timely data processing. Monitor and manage daily/weekly cash flow to support operational needs effectively. Produce cash flow forecasts and identify opportunities for cash optimization. Prepare and present weekly financial reports, including project statuses and revenue achieved, to keep the business informed. Support management with insights to drive informed decisions based on accurate financial data. Proactively seek opportunities to improve finance team workflows and reporting systems Implement streamlined processes to enhance accuracy and efficiency in financial reporting. Key Skills: Finalist or newly qualified Accountant 2 years of hands-on experience in financial analysis, accounting, or a related field, with a track record of success. Advanced skills in financial reporting and cash flow management to support strategic decision-making. Expertise in margin analysis and balance sheet reconciliation, ensuring accuracy and insight into financial performance. Proficient in Excel and experienced with financial systems, leveraging tools to drive data precision and efficiency. Proven ability to juggle multiple tasks, meet deadlines, and thrive under pressure in a dynamic environment. Keen eye for detail Strong communicator adept at translating financial data into clear, actionable insights for diverse stakeholders. Self-motivated and collaborative team player Leadership experience preferred, with an ability to guide and inspire teams—though not essential. Apply today