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Asst. Manager/Deputy Manager-Finance & Accounts

Remark HB Limited

United Kingdom

On-site

GBP 40,000 - 60,000

Full time

Today
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Job summary

A financial services company in the United Kingdom is searching for a dynamic finance professional with at least 3 years of experience in financial and management reporting. This role involves preparing crucial financial statements, conducting cost analyses, and supporting data-driven decision-making. The ideal candidate will ensure compliance with accounting standards and aid in the preparation of various management reports and audits.

Qualifications

  • At least 3 years of experience in financial and management reporting.
  • Proficiency in preparing Profit & Loss, Balance Sheet, and Cash Flow statements.
  • Strong analytical skills for cost analysis and performance reporting.

Responsibilities

  • Preparation of Financial and Management Reports.
  • Ensure timely capitalization of assets in accordance with company policy.
  • Cost analysis for Raw Materials & Packaging Materials.
  • Preparation of business performance reports & Analytics.
  • Monitor GL regularly.
  • Check employee final settlement calculation and payroll cost recording.
  • Engage with external & internal audits.
  • Preparation and review of inter-company reconciliation statements.
  • Filing Income Tax Returns for Individuals & Companies.
  • Finalize the monthly sales target and budget preparation.
  • Preparation of ad hoc management reports.
  • Collaborate with marketing and financial teams for budget management.
  • Provide ad hoc requirements to management.
Job description

We are looking for a dynamic and energetic person who has at least 03 years of proven experience in financial and management reports, including Profit & Loss, Balance Sheet, and Cash Flow statements, to support data-driven decision-making and maintain financial transparency for meaningful contribution to our company to reach the goal of the organization.

Job Responsibilities
  • Preparation of Financial and Management Reports.
  • Ensure timely capitalization of assets in accordance with company policy and accounting standards.
  • Raw Materials (RM) & Packaging Materials (PM) Cost Analysis
  • Timely preparation of business performance reports & Analytics.
  • To monitor GL regular basis.
  • Employee final settlement calculation checking, payroll cost recording & controlling.
  • External & Internal audit facing.
  • Preparation and review of inter-company reconciliation statements.
  • Filing Income Tax Returns for Individuals & Companies.
  • Prepare the Monthly Incentive Policy, finalize the monthly sales target and budget preparation.
  • Preparation of various ad hoc management reports as required.
  • Collaborate with marketing, Audit and financial teams to manage budgets to maximize impact and ROI.
  • Closely work with Head of Accounts to provide any other ad hoc requirements of management.
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