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Finance & Accounting Manager

Search

City of Edinburgh

Hybrid

GBP 66,000 - 72,000

Full time

30+ days ago

Job summary

A leading company is seeking a Finance & Accounting Manager for their Edinburgh office on a permanent, full-time basis, offering hybrid working. In this role, you'll manage accounting activities, oversee financial report preparation, and ensure compliance with regulations while enjoying a market-leading benefits package and opportunities for career advancement.

Benefits

Market leading bonus scheme
Comprehensive benefits package including private healthcare
Generous leave allowance
Opportunities for professional development and career advancement

Qualifications

  • Demonstrable accounting experience in similar role.
  • Understanding of tax laws and reporting.
  • Ability to engage with internal and external stakeholders.

Responsibilities

  • Supervise preparation of statutory and internal reports.
  • Prepare monthly board reports and present updates to shareholders.
  • Ensure compliance with legal regulations.

Skills

Microsoft Excel
Interpersonal skills

Education

Qualified Accountant (ACCA/CA/CIMA)

Tools

ERP systems

Job description

Search are supporting the recruitment of a Finance & Accounting Manager to join our client's Edinburgh office with hybrid working on a permanent, full-time basis.

Within the role, you'll be responsible for managing accounting documentation, overseeing commercial accounting and the production of financial reports alongside tax preparation. If you're a Qualified Accountant looking to join an industry leading business and be part of a high performing and supportive team, you'd be encouraged to apply.

What's in it for you:
A salary range of circa 66k - 72k, depending on experience.
Hybrid and flexible working options.
Market leading bonus scheme.
Comprehensive benefits package including private healthcare and generous leave allowance.
Opportunities for professional development and career advancement.

Your responsibilities will include:
Supervise preparation of statutory and internal reports.
Provide regular cashflow forecasting.
Prepare monthly board reports and present updates to shareholders.
Act as point of contact for commercial negotiations.
Liaise with internal and external stakeholders including senior management.
Supervise internal and external audits.
Prepare bookkeeping and update financial documentation.
Reconcile bank accounts and suppliers.
Complete cost control activities and report on relevant budgets.
Prepare taxes for Group companies.
Ensure compliance with legal regulations.
Supervise payments and collection invoices.
Supervision of junior staff.

Skills and experience that will benefit your application:
Qualified Accountant (ACCA/CA/CIMA) desirable.
Demonstrable accounting experience in similar role.
Understanding of tax laws and reporting.
Experience with ERP systems.
Microsoft Excel proficiency.
Strong interpersonal skills, comfortable engaging internal and external stakeholders.

If you'd like to apply or find out more, please submit your CV at the earliest opportunity and/or get in touch at (url removed).

Search is an equal opportunities recruiter and we welcome applications from all suitably skilled or qualified applicants, regardless of their race, sex, disability, religion/beliefs, sexual orientation or age.

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