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Finance Manager

Bennett and Game

East Midlands

On-site

GBP 40,000 - 50,000

Full time

22 days ago

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Job summary

A leading building consultancy in Leicester seeks a Finance Manager to oversee the finance function and support business growth. The successful candidate will manage day-to-day finance operations, prepare management accounts, and ensure compliance with financial regulations. Ideal for established accountants, preferably with construction industry experience. This role offers a competitive salary of £40,000–50,000, hybrid working, and great benefits including 25 days of holiday.

Benefits

25 days holiday
On-site parking
Hybrid working

Qualifications

  • Established accountant with a strong background in financial management.
  • Experience in the construction industry is preferred.
  • Strong analytical and reporting skills are essential.

Responsibilities

  • Take ownership of the full finance function.
  • Manage accounts payable and receivable processes.
  • Prepare management accounts and financial reports.
  • Ensure compliance with HMRC regulations.

Skills

Financial management
Accountancy
Analytical skills
Construction industry experience
Job description

Position: Finance Manager

Location: Leicester

Package: £40,000–50,000, hybrid working, 25 days holiday, and more

Working hours: Monday‑Friday, 9am‑5pm

A fantastic position has arisen in Leicester, for an ambitious Finance Manager. This is within a leading building consultancy, specialising in education surveying, construction management, and funding. Offering some great benefits including, up to £50k, hybrid working, 25 days holiday, on‑site parking, and much more

The successful candidate will play a key role within a growing business, taking ownership of the full finance function, and acting as the main point of contact for all financial matters. If you are an established accountant, preferably with experience in the construction industry, you don't want to miss this opportunity

Finance Manager Job Overview
  • Full ownership of day‑to‑day finance operations
  • Manage accounts payable and receivable processes to month end
  • Prepare management accounts, cashflow reporting and financial analysis
  • Oversee VAT returns and ensure compliance with HMRC regulations
  • Maintain accurate financial records and produce reports for senior leadership
  • Work with external accountants at year end
  • Support internal processes such as HR administration and project co‑ordination when required
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