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Finance Manager

MacKenzie King

Witham

On-site

GBP 45,000 - 60,000

Full time

30+ days ago

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Job summary

A well-respected organisation in Kelvedon is seeking an experienced Finance Manager to lead a finance team. The role involves managing accounts payable and receivable, daily cash management, and overseeing financial processes. Candidates should have strong managerial skills, prior experience with ERP systems, and a good knowledge of Excel. This position is an excellent opportunity to contribute to a dynamic financial environment.

Responsibilities

  • Manage the Accounts Payable and Accounts Receivable teams.
  • Daily cash management including cashflow forecast.
  • Line management of four individuals with appraisals.
  • Monthly maintenance of the balance sheet reconciliations.
  • Ownership of the month end process.
  • Assist in the delivery of the year end financial statements.
  • Manage and process high value weekly payment runs.
  • Manage the petty cash function for four sites.
  • Manage the production of monthly VAT returns.
  • Maintain the Finance Process sections of the financial procedures manual.

Skills

Strong managerial experience
Prior use of an ERP system
Good working knowledge of Excel
Strong communication skills
Experience in dynamic environments
Job description

MacKenzie King are delighted to be recruiting a Finance Manager for an established, well-respected organisation in Kelvedon. As a Finance Manager you will have proven experience leading a finance team and hands‑on expertise with ERP systems to streamline financial processes and support data‑driven decision‑making.

Duties & Responsibilities:
  • Manage the Accounts Payable and Accounts Receivable teams within the organisation.
  • Daily cash management including cashflow forecast, investment of surplus cash and transfers between operating bank accounts in accordance with bank facilities.
  • Line management of four individuals, including annual appraisals and providing regular feedback.
  • Monthly maintenance of the balance sheet reconciliations, including the reconciliation of payroll journals to HR records.
  • Ownership of the month end process, including posting all prepayments, accruals, deferred income and accrued income entries.
  • Assist in the delivery of the year end financial statements, including preparation of audit deliverables and responding to audit queries.
  • Manage and process high value weekly payment runs
  • Manage the petty cash function for four different sites
  • Manage the production of monthly VAT returns, performing annual partial exemption calculations.
  • Maintain the Finance Process sections of the financial procedures manual, making sure all work is in line with necessary procedures.
Skills & Experience:
  • Strong managerial experience.
  • Prior use of an ERP system.
  • Good working knowledge of Excel.
  • Strong communication skills.
  • Demonstrated experience working in a dynamic environment undergoing significant organisational or operational change (e.g., restructuring, rapid growth, digital transformation, or process overhauls)

To find out more about this opportunity, please contact Stephanie and Ted at MacKenzie King on 01473 760460.

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