Finance Manager role for a renowned Leisure/Travel Business in Central London offices with hybrid working (2 days office, 3 days WFH). Oversee UK accounting function, gain commercial experience, and exposure to senior stakeholders.
Responsibilities:
* Accounting entries, monthly management accounts, analysis, and ad-hoc analysis.
* Compliance with IFRS, laws, international accounting standards, and Global company policies and finance guidelines.
* Working capital management: accounts payable, accounts receivable, and payroll functions.
Budgeting and Forecasting:
* Annual budget for London, business partnering with local operational teams and central support functions.
* 13-week liquidity forecast, cash inflows and outflows for external parties.
* Ad-hoc forecasts and analysis as required.
Audit and Financial Statements:
* Preparation of financial statements for London.
* Annual audit, managing audit requests and liaising with audit team.
Treasury and Tax Responsibilities:
* Treasury function, managing day-to-day banking for London and cashflow management.
* Working with Group Tax to ensure local VAT and corporation tax requirements are met.
About You:
* Qualified accountant (ACA/ACCA/CIMA) with membership of the relevant accredited professional body.
* 2 years PQE, financial statements preparation/review experience.
* Experience within the travel/tourism industry preferred but not required.
* Strong relationship and communication skills.
* Advanced Microsoft Excel skills and basic PowerPoint skills.
* Previous experience of SAP ByD is preferred but not required.
* Knowledge of IFRS and tax compliance.
* Knowledge of accounting, finance control, reporting, and business analysis.