Finance Manager: Strategic Reporting & Cash Flow Lead

CCSCollect

Croydon

On-site

GBP 50,000 - 70,000

Full time

14 days+
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Job summary

CCSCollect is seeking an experienced Finance Manager to own day-to-day financial management and control. Reporting to the CFO, you will deliver accurate financial reporting, analysis and insight to support effective decision making across the business.

You will manage month-end, management accounts, reconciliations, cash flow, VAT and payroll processes, while supporting budgeting, forecasting and statutory accounts.

Qualifications

  • Qualified, part-qualified or qualified by experience accountant with management accounting experience.
  • Experience producing monthly management accounts and balance sheet reconciliations.
  • Strong Excel skills and familiarity with accounting systems.
  • Accurate, organised and analytical with a hands-on approach.
  • Comfort communicating with both finance and non-finance colleagues.
  • Experience in debt collection/financial services or regulated environments is advantageous but not essential.

Responsibilities

  • Preparing monthly management accounts and completing month-end processes.
  • Maintaining and reconciling balance sheet accounts and resolving reconciling items.
  • Monitoring cash balances and supporting short-term cash flow management.
  • Preparing VAT returns and supporting payroll processes.
  • Providing financial information, analysis and commentary to the CFO and Management Team.
  • Supporting budgeting, forecasting, statutory accounts and audit requirements.
  • Maintaining and improving financial controls, processes and reporting.
  • Managing and supporting CCS finance team.
  • Working collaboratively with operational teams and other finance teams across the Group.

Skills

Management accounting
Balance sheet reconciliations
Financial reporting
Excel
Accounting systems

Education

Qualified/Part-qualified or QBE in accounting (ACCA/CIMA/CPA)

Job description

CCSCollect is seeking an experienced Finance Manager to own day-to-day financial management and control. Reporting to the CFO, you will deliver accurate financial reporting, analysis and insight to support effective decision making across the business.

You will manage month-end, management accounts, reconciliations, cash flow, VAT and payroll processes, while supporting budgeting, forecasting and statutory accounts.

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