Enable job alerts via email!

Finance Manager

zendbox

Tonbridge

On-site

GBP 55,000 - 60,000

Full time

Yesterday
Be an early applicant

Generate a tailored resume in minutes

Land an interview and earn more. Learn more

Start fresh or import an existing resume

Job summary

Zendbox, a leading eCommerce fulfilment provider, is looking for a Finance Manager to join their Kent office. You will play a key role in financial reporting, cash flow management, and supporting strategic insights for the leadership team. The position offers a competitive salary and generous holiday allowance.

Benefits

Generous holiday allowance 25 days + bank holidays

Qualifications

  • Strong written and verbal communication skills.
  • Strong organisational skills and time keeping.
  • Ability to work across multiple projects.

Responsibilities

  • Prepare management accounts and financial reports.
  • Manage cash flow planning and staff payroll.
  • Oversee offshored AP and AR functions for accuracy.

Skills

Communication
Organisational Skills
Time Management
Analytical Skills

Job description

Social network you want to login/join with:

Zendbox is a leading eCommerce fulfilment provider dedicated to delivering exceptional customer experiences through innovative logistics solutions. We are currently seeking a Finance Manager to join the team at our head office in Kent.

Reporting to the Head of Finance as part of an international team, the Zendgroup Finance Manager will be an integral role in driving a high performance finance function. The Finance Manager will guide and direct overseas staff in charge of AP, AR and Bank Recs whilst having core responsibilities in accurate timely financial reports being shared with the business. As required the Finance Manager will support the HoF in developing strategic insights for senior leaders in order to achieve the Groups vision.

Key Responsibilities:

Management Accounts - Close by WD6 to include

  • Fixed Assets
  • Accruals
  • Prepayments
  • Intercompany reconciliations
  • Loan reconciliations
  • Analysis of actual vs budget with commentary for variance
  • Profitability by customer analysis and associated commentary for management team
  • Recoding of items related to P11d expenditure
  • Stock reporting – in collaboration with the relevant parties in the business report. Stock turnover, stock holding, aged stock and risks

Cashflow reporting

  • Cashflow planning using Bank, AP, AR and Sales Pipeline
  • Initial determination of any cashflow risks and associated reporting to HoF and CFO

Payroll

  • Collate and process monthly payroll for salaried and shift staff
  • Liaise with external payroll providers and check accuracy of payroll calculations

Treasury

  • Recommendations on intracompany cash transfers where required

Staff management

  • Management of offshored AP and AR function to ensure daily accuracy of processing and bank recs

Requirements

  • Strong written and verbal communication skills
  • Strong organisational skills, time keeping and ability to work across multiple projects
  • Competitive salary between £55,000 – £60,000 per annum
  • Generous holiday allowance 25 days + bank holidays
Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.