Finance Manager

Seen Connects

Greater London

On-site

GBP 70,000 - 90,000

Full time

14 days+
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Job summary

The Captivate Group is seeking a Finance Manager to lead finance operations across four agencies. You will oversee outsourced finance functions, ensure accurate management accounts and support the Finance Director with reliable financial information for decision-making.

Key responsibilities include month-end close, group consolidation, balance sheet reviews, cashflow forecasting, payroll accounting, tax compliance and governance.

Qualifications

  • Qualified Accountant with strong governance and accounting expertise.
  • Advanced Excel and financial systems experience.
  • Experience managing finance operations or outsourced functions.

Responsibilities

  • Oversee outsourced finance/bookkeeping, processing and reconciliations.
  • Ensure finance operations meet service levels across agencies.
  • Manage Office Manager support and monthly/annual timetables.
  • Maintain process documentation and monthly close calendars.
  • Lead monthly balance sheet reviews and group consolidation.
  • Forecast cashflow, monitor working capital and intercompany funding.
  • Coordinate payroll, PAYE, pensions and related costs.
  • Oversee tax filings (VAT/PAYE) and compliance.
  • Support year-end audits, internal controls and governance.

Skills

Qualified Accountant
Technical accounting
Attention to detail
Finance operations
Excel & systems
Communication skills

Job description

Job Title: Finance Manager

Reports To: Finance Director

Location: Shoreditch, London

Contract Type: Full-time, Permanent.

Purpose of the Role

To oversee and manage the finance operations across four marketing services agencies. The Finance Manager is responsible for maintaining strong financial governance, ensuring accounting integrity, overseeing the outsourced finance function, and supporting the Finance Director with reliable financial information to enable effective decision-making and business growth.

Key Responsibilities
1. Finance Operations & Back Office Management
  • Oversee the outsourced finance/bookkeeping function ensuring timely and accurate processing and reconciling of accounts payable, oversee payment runs, bank reconciliations, expense processing and routine journals.
  • Ensure finance operations are delivered to agreed service levels across all agencies.
  • Management and support of the Office Manager.
  • Manage and maintain the monthly and annual timetable.
  • Manage and maintain process documentation.
2. Financial Reporting & Month-End Close
  • Ensure the timely completion of month-end close processes across all agencies.
  • Manage and maintain the group consolidation model and support group-level reporting.
  • Manage and maintain the hold co P&L and associated cross charges.
3. Balance Sheet & Reconciliations
  • Own the monthly balance sheet review process across all agencies.
  • Ensure reconciliations are complete, supported and documented.
  • Ensure that schedules for fixed assets, accruals, prepayments, deferred income and intercompany balances are maintained.
  • Present balance sheet reconciliations to the Finance Director monthly.
  • Monthly debtor and accrued revenue review with Finance Business Partners.
4. Cashflow & Treasury Management
  • Maintain weekly and monthly group cashflow forecasts.
  • Monitor working capital requirements and cash balances.
  • Monitor bank access, intercompany funding and foreign currency exposure.
  • Manage and maintain bank responsibilities matrix.
  • Review and approve payment runs in conjunction with FD.
6. Work in Progress & Project Financial Management
  • Have regular WIP reviews with project teams.
  • Ensure that all invoices are raised and submitted at the earliest opportunity.
7. Payroll Management
  • Oversee the monthly payroll process across all agencies.
  • Ensure accurate accounting for payroll, PAYE, pensions and related costs.
  • Act as escalation point for payroll queries.
8. Taxation & Compliance
  • Ensure statutory filings are completed including VAT returns, PAYE submissions and corporation tax compliance.
  • Identify opportunities for tax efficiency including R&D credits, foreign VAT reclaims and relevant industry reliefs.
  • Ensure reporting thresholds are monitored and proactively managed.
9. Audit, Controls & Governance
  • Coordinate the year-end statutory audit across all entities.
  • Maintain and develop the internal control framework.
  • Ensure finance processes are documented and audit ready.
  • Prepare support for the statutory accounts for assigned agencies in collaboration with the Auditors and Finance Business Partners.
  • Ensure all statutory filings across the group are made on time.
10. Finance Systems & Process Improvement
  • Own finance systems ensuring they remain fit for purpose.
  • Standardise financial processes and policies across agencies.
  • Expand system usage including dashboards and reporting automation.
Skills
  • Qualified Accountant
  • Strong technical accounting and governance expertise.
  • Excellent attention to detail.
  • Experience managing finance operations or outsourced finance function.
  • Ability to challenge the numbers in reviews to drive better outcomes.
  • Exposure to working in a large group across multiple entities.
  • Advanced Excel and financial systems skills.
  • Strong organisational and communication skills.

At The Captivate Group, we are committed to providing an inclusive environment where everyone feels seen, heard and celebrated. We welcome applications from everyone. If you are invited to an interview, please let us know if there are any reasonable adjustments we can make to best accommodate your needs.

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