An exciting opportunity has arisen to join a IT business based in Chesterfield as their Finance Manager. This role can be full time or 4 days a week.
The Finance Manager will report to the Group Finance Director and is pivotal to the financial strategy of the business, responsible in delivering robust and accurate financial operations, management and reporting to enable decision making
- Produce financial statements including profit and loss accounts, budgets, cash flows, monthly management accounts, variance analysis and commentaries
- Annual budget and periodic forecasting
- Provide management reporting for decision-making, including project appraisal, evaluation and post-implementation analysis
- Ongoing review of cash flow and production of forecasts
- Produce annual statutory accounts in management accounts format
- Calculation, presentation, and payment of VAT
- Manage capital expenditure
- Report on company assets and liabilities including balance sheet account reconciliations and review of intangible assets
- Ensure compliance with all financial regulations
- Carry out continuous reviews of working accounting practices and processes to ensure efficient and cost effective operations
- Manage a team of 2 ledger clerks
- Take full control of SAP B1 and make all process digital within SAP B1
You will be;
- Qualified or Qualified by experience Accountant
- Experience in a SME environment
- Excellent IT skills
- Strong communication and interpersonal skills
Benefits
Hybrid working, 25 days holiday, pension and parking