Job description
REMOTE
Personal Benefits:
* £50,000 - £60,000 salary DOE
* Flexible working hours
* Remote working
* Private Healthcare
* Pension
We are working with a Multi-National company that’s provides services of Customer Experience and Digital Souring across the world to appoint a Full Time Permanent Qualified Finance Manager.
This role is 100% remotely based, with headquarters in London. You will report to the Group Financial Controller who’s duties lie within the UK & US subsidiaries. As Finance Manager you will be responsible for acting as first point of contact across all Finance and Accounting needs and work closely with the international finance team and the group’s senior management.
This role will suit those from a BPO, IT, telecoms or Professional Services sector looking for that next step!
Requirements:
* Qualified accountant (ACA, CIMA, ACCA) or QBE with similar level experience.
* Experience within a similar Service industry position
* Minimum 3years FP&A experience
* Ability to partner with commercial and operational stakeholders in a fast paced, growing SME international environment. Confident and effective communicator
* Strong numerical and analytical skills
* Tax and treasury exposure
* Ability to analyse and evaluate information effectively
* Well-organized with exceptional attention to detail
* Proficiency in Various Accounting packages – Xero would be an advantage
* DESIRABLE - US-company exposure and experience on US taxation (sales tax, withholding tax, etc.)
Key Responsibilities:
Manage day-to-day financial operations, including monthly management accounts preparation and Group reporting
Drive Continuous improvements – Streamlining the accounting functions
Oversee GL activities such as journal postings
Review invoice/billing and credit control processes, ensuring accurate cash receipt application and good AR Ageing
Approve vendor/supplier invoices and employee expenses, ensure P&L coding are used correctly and that payments are processed timely
Monthly Management Accounting duties to close
Perform Balance Sheet account reconciliations
Assist with Forecasting / Budgets / profitability calculations / variance analysis process.
Provide support to the treasury function
Analyse financial data (inc. budget vs actual variances)
Tax calculations, returns, payments and planning
Involvement in transfer pricing out of UK/US and between group companies, including monthly intercompany reconciliations
Support the annual audit preparation
Provide Payroll assistance
HR and admin support for the UK and US
Local compliance and statutory reporting
Support ad hoc tasks requested by Group Financial Controller, CFO and senior management team
Salary £50 – 60k Depending on experience – this role also offers flexible working at the same time as working remotely!
If you do not have a CV but would like an initial conversation about this role on a private and confidential basis, please contact Gavin Reynolds