A thriving construction company is looking to add a new Finance Manager to the group to sole charge manage a growing subsidiary including bringing functions in house from external accountants. The position presents an exceptional opportunity to oversee our finance operations with a broad and varied remit that will include:
Responsibilities
- Prepare management accounts
- Prepare a rolling monthly cash flow forecast
- Managing and reconciling all bank account entries including all General Ledger journals
- Maintaining all payables administration including monthly supplier, contractor and subcontractor payments
- Administer company credit cards
- Prepare and submit monthly CIS returns
- Monthly VAT returns
- Manage monthly payroll and address associated queries
- Conduct annual audit as well as annual accounts for other associated companies
- Maintain an ongoing relationship with the company’s bank and company insurances
Qualifications
The successful applicant will have significant professional accounting experience including knowledge of the construction sector and CIS. A professional accounting qualification is preferred but not essential, but you should be proficient with financial software and Excel with strong analytical problem‑solving skills and a meticulous attention to detail. Excellent communication skills are essential to present financial information clearly to non‑finance colleagues and the ability to reappraise priorities for workloads to meet deadlines.
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