Job description
Finance Manager (12 Month Fixed Term Contract – Potential to go Perm)
Manchester City Centre (Hybrid Working)
£45,000 - £55,000
Axon Moore have a fantastic opportunity available for an experienced and ideally immediately available Finance Manager. You would be joining a business who is currently expanding at a phenomenal rate – on the back of what is a record year in terms of revenue and with that in mind they are looking for a like-minded individual to join their dedicated Head Office team, to help the company continue to flourish.
The successful candidate will manage 4 finance assistants and you will be responsible for the production of the company’s financial results, overseeing transactional processing as well as liaising with the wider business where necessary to ensure that these are accurate and appropriately reflect the company’s current commercial position.
Key Responsibilities:
To not miss out on this opportunity and to find out more please apply today.
Manchester City Centre (Hybrid Working)
£45,000 - £55,000
Axon Moore have a fantastic opportunity available for an experienced and ideally immediately available Finance Manager. You would be joining a business who is currently expanding at a phenomenal rate – on the back of what is a record year in terms of revenue and with that in mind they are looking for a like-minded individual to join their dedicated Head Office team, to help the company continue to flourish.
The successful candidate will manage 4 finance assistants and you will be responsible for the production of the company’s financial results, overseeing transactional processing as well as liaising with the wider business where necessary to ensure that these are accurate and appropriately reflect the company’s current commercial position.
Key Responsibilities:
- Timely and accurate production of monthly P&L’s including preparation of monthly accruals, prepayments and other accounting entries
- Management and production of monthly balance sheet reconciliations
- Variance analysis vs Budget
- Support on cost reviews with Budget holders
- Cash flow forecasting/working capital requirements
- Preparing quarterly VAT returns and assistance with Corporation tax comps at year end
- Managing sales ledger, purchase ledger and stock levels
- Review and prepare weekly and monthly payments
- Resolve any escalated issues with customers and suppliers
- Build good relationships across non-finance functions
- Support ad-hoc finance requests across the group
- Seek to constantly improve financial procedures, policies and systems
To not miss out on this opportunity and to find out more please apply today.