Finance Manager
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Job Type | Permanent Full Time |
Location | Guildford |
Area | Guildford, Surrey |
Sector | Finance - Finance Manager |
Salary | £40,000 - £47,000 |
Start Date | |
Telephone | 01372642001 |
Job Ref | 011897 |
Job Views | 54 |
- Description
- Description
- Our client is a market leader within the services industry and currently enjoying a period of extended growth. They have therefore created a Finance Manager vacancy to work closely with the management accountants, supervising and mentoring when required.
Job Purpose
Working with the other management accountants to take responsibility for the maintenance of accounting records and fulfilment of financial and management reporting requirements. This includes the preparation of the month Group and Executive Team reporting packs and year-end financial statements and the associated supporting records, and other timely, relevant financial information as required.
Accountability and activities
Working within a team with the other Management Accountant(s) to complete the following tasks:- Preparation of the monthly Group Reporting pack and associated appendices for all UK based companies. In order to do so, the following records and calculations are to be produced and maintained:
- Calculation of the gross margin and reconciliation between the profitability reports and accounting records.
- Analysis of turnover and cost of sales expenses
- Calculating deferral and release of revenue and costs on support contracts
- Maintaining a record of accrued and deferred revenues and costs
- Calculation of customer rebate accruals
- Controlling the fixed asset and demonstration stock register
- Calculating stock provisions
- Calculating monthly accruals and prepayments
- Undertake the accounting for marketing campaigns
- Reviewing overhead expenses in detail to ensure appropriate classification and against prior month and budget for unusual variances
- Maintaining GRNI and IRNC sheets
- Preparation of other balance sheet reconciliations
- Generation and submission of recharge invoices and supporting documentation
- Monthly reconciliation of gross margin per Qlikview to the accounting record
- Preparation of month end management information pack in advance of the Executive Team meetings
- Regular preparation of bank and other balance sheet reconciliations
- Preparation and submission of VAT returns, EC sales list and intrastat declaration to meet deadlines
- Regular reconciliation of deferment account statements to C79 forms received
- Assisting with the production of the annual budget
- Preparation of year-end financial statements and consolidation packs, and any providing supporting information and explanations required by auditors
- Any other analysis of financial information on an ad hoc basis
- Self-starter with the capability of working well independently and as part of a small team
- Attention to detail and ability to self-review work
- Ability to understand and follow processes and identify potential improvements
- Proactive and works on own initiative
- Ability to present documents in a clear, cohesive manner
- Good communication skills
- Strong Excel skills (desirable)
- ACA/ACCA/CIMA qualified or studying
Benefits- Company bonus scheme
- Up to 5% matched pension
- Annual 'Kick-Off' abroad
- Cycle2Work scheme
- 24 days holiday and a day off for your birthday