My client is looking to recruit an all round Finance Manager who can do everything from Bookkeeping, Credit Control, Production of Management Accounts and also support on cashflow forecasting/planning.
The purpose of the role is to develop, implement and maintain financial controls within the business and provide strong financial and reporting support to the Managing Director on the growth journey.
Accountabilities & Responsibilities
- Produce monthly and annual management accounts
- Conducting budget variance analysis & producing insight reports/recommendations to influence key decisions
- Ensure all invoices, receipts and payments are correctly accounted for within ERP system
- Management of cashflow from production of cashflow statement, cashflow forecasts, and scheduling of payments
- Management of credit control processes to minimise bad debts and support cashflow generation and sales for the business
- Financial analysis of business performance
- Production of monthly performance packs to include Sales & Margin reporting, stock, cash, and other key business KPIs for UK team and Group Finance Director
- Support key stakeholders within financial analysis for investment decisions
- Undertake all regulatory reporting required of the business e.g. quarterly WEEE submissions
- Manage certain 'services' e.g. insurance etc.
About you
- Able to operate at senior level
- Curious to continue to learn
- Able to roll up sleeves where required
This is a Part Time role - 3 days a week - 2 days in the office/1 day WFH
You will be paid GBP24k a year for 3 days a week.