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Financial Controller

Devonshire Hayes Recruitment Specialists Ltd
Posted 19 hours ago, valid for 10 days
Location

Harlow, Essex CM19 4BX, England

Salary

£75,000 - £80,000 per annum

Contract type

Full Time

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Sonic Summary

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  • An experienced Financial Controller/Accounting specialist is sought for a hybrid role with a media firm in Harlow.
  • The position offers a salary of up to £80,000 per annum and requires at least 5 years of relevant experience.
  • Candidates should ideally be Chartered Accountants or at least ACCA qualified, with strong team management experience.
  • Experience within a global or European company and familiarity with royalties and stock management is preferred.
  • Key responsibilities include managing the accounts function, preparing management accounts, budgeting, cash flow management, and ensuring compliance with statutory requirements.

Are you an experienced Financial Controller/Accounting specialist? If so I have an exciting opportunity for you with a firm in the media industry!

The role would be situated with their operations team based in Harlow. The role is Hybrid with 3x days a week on site, the salary for the role is up to £80,000 p/a. We are looking to get someone in ASAP. 

Requirements:

- Looking for someone that is very technical, ideally a Chartered Accountant but at least ACCA qualified. 

- Strong experience with team management

- Experience within a global/European company preferred

- Experience working with royalties is desired

- Stock Experience desired 

Responsibilities:

  • Running the Accounts function – responsibility for all day-to-day accounting for the company and group. Direct reports are: Management Accountant; Credit Controller; Cash Manager; Purchase Ledger Manager; and two additional team members.
  • Management accounts –preparation of detailed monthly MAs including balance sheet, cash flow and overhead analysis; delivery to FD, Board and group; parent company accounts with straightforward consolidation.
  • Budgeting and forecasting –preparation and maintenance of annual budget and monthly forecasts.
  • Cash and treasury –group cash flow forecasting and management, overseeing daily banking requirements, primary contact with bank, foreign currency transactions, company credit cards.
  • Stock – overall responsibility for physical stock valuation and cost of sales calculation; periodic obsolescence review.
  • Payroll, HR, admin and pensions –manage the monthly payrolls (not processing), ensure pension payments are accurate and timely, preparation and liaison for annual company insurance, create and report PllD's.
  • Taxation – oversight of monthly VAT returns for UK and Germany, assistance with third party preparation of CT600, communication with HMRC and other tax offices as required.
  • Compliance and company secretarial –undertake group Company Secretarial duties (excludes Board Meeting attendance and minutes). Ensure group companies are compliant on all accounting matters.
  • Statutory accounts - manage audit process, creation of statutory accounts, filing with Companies House; tax accounts filing in Germany and US.

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