Finance Manager – 4 day week – Hybrid (2 days on site)
About the Role:
* Ensure all financial transactions are accurate and up-to-date, including invoices and receipts.
* Process monthly financial journals to ensure correct accruals and provisions.
* Develop and maintain a comprehensive annual cash flow prediction and update regularly.
* Oversee the purchase ledger function, ensuring timely payment of all documentation.
* Complete regular bank reconciliations and address any discrepancies.
* Manage company credit card and expenses returns.
* Assist with Company Secretary duties as required.
* Provide financial reports and information to the Board members upon request.
* Prepare Board Reports for board meetings as necessary.
* Ensure accurate and timely payroll processing, including deductions.
* Oversee pension contributions and payments.
* Lead and manage staff to achieve goals and provide effective services.
* Develop plans to assess and improve performance.
Responsibilities:
* Financial Management: Oversee all aspects of financial management, including budgeting and forecasting.
* Financial Reporting: Provide regular financial reports and analysis to stakeholders.
* Payroll Management: Ensure accurate and timely payroll processing.
* Pension Management: Oversee pension contributions and payments.
* Staff Management: Lead and manage staff to achieve goals and provide effective services.
Requirements:
* Accountant with at least 5 years financial management experience.
* Experience with audit processes.
* Proficiency in Microsoft Office, including advanced Excel and relevant software applications.
* Proficiency in financial software packages.
This is a unique opportunity to work in a hybrid environment and take advantage of a 4-day workweek.