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Assistant Manager/ Manager- Accounts & Finance

SHODESH GROUP

United Kingdom

On-site

GBP 80,000 - 100,000

Full time

Today
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Job summary

A financial management company in the United Kingdom seeks a finance professional to prepare and manage financial statements, develop budgetary plans, and ensure compliance with regulatory bodies. Responsibilities include variance analysis, vendor payment processing, and financial forecasting. The ideal candidate will have strong analytical skills and attention to detail.

Responsibilities

  • Prepare financial statements (monthly, quarterly, half-yearly, annual) in line with accounting standards.
  • Develop and prepare a short-term and long-term budgetary plan and cost management.
  • Conduct variance analysis between actual and budgeted figures.
  • Provide guidelines on Financial Reporting and Budget Control.
  • Ensure financial policies comply with regulatory bodies.
  • Prepare and develop budget processes and related reports.
  • Process vendor payments and check requests.
  • Maintain accurate filing and record-keeping system.
  • Identify and analyze financial and nonfinancial risks.
  • Prepare financial forecasting and planning.
  • Manage Tax & VAT effectively.
  • Visit factories and depots for financial monitoring.
  • Perform special assignments as assigned by Management.
Job description
Responsibilities
  • Prepare financial statements (monthly, quarterly, half-yearly, annual) in line with accounting standards.
  • Prepare banking-related reports and projected financial statements as required.
  • Develop and prepare a short-term and long-term budgetary plan and cost management.
  • Rigorously conduct extensive variance analysis between actual versus budgeted figures and present findings to Management with identified improvements.
  • Provide guidelines to direct reports regarding Financial Reporting, Budget and Budgetary Control, Assisting Statutory or Special Audit, Corporate Tax and VAT Issues, ERP / Automation and Internal Control System.
  • Preparation of Financial statements monthly, half-yearly and annually.
  • Ensure all legal and all financial policies of the organisation are in compliance with the Statutory / Regulatory bodies.
  • Prepare and develop budget process including preparation, consolidation and distribution of budgets and related reports.
  • Process vendor payments and check requests.
  • Maintain accurate filing and record-keeping system for all financial statements and company documents.
  • Identify and analyze financial and nonfinancial risks in order to minimise company risks.
  • Generate short- and long-term financial forecasting and planning in alignment with production, sales, as well as stock management.
  • Prepare a short- and long-term plan to ensure effective and efficient Tax & VAT Management.
  • Visit factories and depots as needed for financial monitoring and reporting.
  • Perform special assignments as assigned by Management.
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