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Accounts Manager

Flixza Group

United Kingdom

On-site

GBP 40,000 - 60,000

Full time

Today
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Job summary

A diversified business conglomerate in the United Kingdom is seeking a skilled Accounts Manager to oversee financial operations, manage financial statements, ensure tax compliance, and control budgets. The ideal candidate should possess strong accounting knowledge and analytical ability. Responsibilities include managing transactions, preparing reports, and handling payroll. Competitive compensation and a dynamic work environment are offered.

Qualifications

  • Must have experience in overseeing financial operations.
  • Ability to prepare and present financial statements.
  • Experience in VAT and tax compliance.

Responsibilities

  • Manage day-to-day financial transactions.
  • Prepare monthly, quarterly, and annual financial statements.
  • Control costs and manage budgets.
  • Reconcile bank statements and manage cash flow.
  • Process staff salaries and manage vendor payments.
  • Ensure compliance with tax and regulatory requirements.
  • Assist in audits and implement improvement recommendations.

Skills

Strong accounting knowledge
Analytical ability
Experience in managing financial statements
Tax compliance knowledge
Financial analysis

Tools

Modern accounting software
Job description

Flixza Group - a rapidly growing diversified business conglomerate - is looking for a skilled and professional Accounts Manager to oversee the complete financial operations of the Group and its sister concerns.

The ideal candidate must have strong accounting knowledge, analytical ability, and experience in managing financial statements, tax, and compliance activities.

Job Responsibilities
Financial Record Keeping
  • Manage day-to-day financial transactions for the mother company and all sister concerns.
  • Maintain accurate records of income, expenditure, assets, and liabilities.
Financial Reporting
  • Prepare and present monthly, quarterly, and annual financial statements.
  • Analyze financial performance and provide insights to management.
Budget & Cost Control
  • Prepare, monitor, and manage company budgets.
  • Control costs and ensure achievement of financial targets.
Banking & Cash Flow Management
  • Reconcile bank statements and maintain accurate cash flow records.
  • Handle payments, receipts, and fund transfers as required.
Payroll & Invoice Management
  • Process staff salaries on time.
  • Verify invoices, reconcile statements, and manage vendor payments.
Tax & Regulatory Compliance
  • Prepare and submit VAT and Tax returns accurately and on schedule.
  • Ensure all financial practices comply with local laws and regulatory requirements.
Audit & Financial Evaluation
  • Assist internal and external audits.
  • Implement audit recommendations for financial improvement.
Financial Efficiency
  • Identify cost-saving opportunities and improve financial performance.
  • Use modern accounting software for advanced financial reporting and analysis.
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