With over 25 years of expertise and successful history, our client have enjoyed continued growth over recent years, and committed to this trend, and we are delighted to support them as they seek a Finance Manager to provide accurate and timely financial and management information for the Group in the UK and internationally.
Managing and supporting a team of two, you will report to the VP of Finance and support the business leads of each location, ensuring the integrity of all information produced, applying best practice for all processes and procedures. In addition you will positively identify opportunities for process improvement to enhance operating controls, cost efficiency and customer service.
Your duties will include:
* Manage accounting functions and prepare reports and statistics reflecting earnings, profits, cash balances and other financial results.
* Responsible managing the treasury centre in the UK, to manage international cash pooling.
* Partner with Operations Management to support corporate objectives and drive financial/operational targets set forth by upper management.
* Coordinate the monthly closing activities including required closing activities, reconciliations, and submission of reports along with supporting analysis.
* Proactive analysis of variances and communication of issues and opportunities to operations management Ensure financial results are reported accurately and timely.
* Develop metrics and tracking system for major cost drivers.
* Weekly review of cash updates and review and approval of supplier payments
* Monthly coordination of preparation of monthly revenue, close of the general ledger and monthly journal entries. * Review monthly balance sheet reconciliations and completion of monthly checklist, ensuring compliance with group accounting procedures.
* Preparation of supplementary data submitted to Group Finance for consolidation.
* Preparation of monthly management account packs for submission to the business leads for discussion.
* Variance analysis of actual results to previously submitted forecast.
* Support the quarterly forecast review process and variance analysis for submission into quarterly business review.
* Coordination of annual budgets in conjunction with the business leads and Managing Director.
* Provide information and respond to queries from the external auditors on a timely basis to ensure reporting within group deadlines.
* Provide information and respond to queries from the tax advisors.
* Provide disclosure information for inclusion in both the UK GAAP, US GAAP and SGD GAAP statutory accounts. Statutory accounting and tax reporting
You will hold a formal qualification as CA/ACCA/CIMA and have a working knowledge and understanding of compliance. Experience working with UK GAAP is advantageous.
Strong communication is key, and an approachable, professional manner.
Don't miss out, apply now!