We are seeking a highly capable Finance Manager to support
our growing UK accounting and outsourced CFO practice. The role combines
technical accounting, management reporting, client interaction, financial
analysis, systems implementation and process improvement.
The successful candidate will work directly with UK-based
clients, senior management teams and CFOs, therefore excellent spoken and
written English is essential.
This is not a traditional accounting role. We are looking
for someone who enjoys learning new systems, improving processes, analyzing
data and helping businesses make better decisions.
Key Responsibilities:
UK Accounting & Bookkeeping
• Manage end-to-end accounting for multiple UK
clients
• Review and process accounting transactions
• Maintain general ledger accuracy
• Perform bank, payroll, VAT and balance sheet
reconciliations
• Process accruals, prepayments and month-end
journals
• Review accounts receivable and accounts payable
functions
• Maintain fixed asset and depreciation schedules
Management Accounts
• Prepare monthly management accounts
• Produce P&L;, Balance Sheet and Cash Flow
reports
• Deliver budget versus actual analysis
• Prepare variance commentary for management
• Support rolling forecasts and financial planning
activities
VAT & Compliance
• Prepare and review UK VAT returns
• Support year-end statutory accounts preparation
• Assist with corporation tax schedules
• Liaise with external accountants and auditors
• Ensure compliance with UK accounting standards
and HMRC requirements
Cash Flow & Treasury
• Monitor daily cash positions
• Prepare weekly and monthly cash flow forecasts
• Support payment runs for suppliers, contractors
and payroll