Finance Manager (UK)

Vintage.com

Lower Wyke

On-site

GBP 60,000 - 80,000

Full time

2 days ago
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Job summary

Vintage.com in Valley Mills, Drighlington, UK, seeks a Finance Manager to lead the day-to-day finance operation. You’ll develop a small team, oversee core accounting cycles and ensure reliable controls, systems and reporting as the business grows in the UK and Europe.

You’ll be close to the details to spot issues early while providing senior leaders with analysis, forecasts and context to inform decisions and drive efficiency with Xero and scalable processes.

Qualifications

  • Three+ years of management accounts experience.
  • Part-qualified or qualified in CIMA, ACCA or ACA.
  • Experience coaching finance staff.
  • Strong knowledge of UK VAT and financial controls.

Responsibilities

  • Lead and develop a small Finance team across AP, AR and reporting.
  • Set clear priorities and support capability building.
  • Coordinate reporting cycles and deadlines.
  • Prepare monthly management accounts and variance analysis.
  • Maintain general ledger and balance-sheet reconciliations.
  • Ensure strong financial controls and timely year-end activity.

Skills

Management accounting
Xero
Financial controls
Leadership
Coaching
VAT knowledge
Communication
Organization

Education

CIMA/ACCA/ACA qualification

Tools

Xero (software)

Job description

Finance Manager (UK)

Department: Finance

Employment Type: Full Time

Location: Valley Mills, Drighlington

Description

At Vintage.com, we believe everything has value and nothing should be wasted. We make it simple for customers to sell the pre-loved items they no longer need, giving them a second chance while creating a more sustainable way to buy and sell.

We are building the world’s largest trading platform for pre-loved items, powered by people and data. With teams across the UK and Europe, we work as one business to create brilliant experiences for our customers, partners and each other.

Our Finance team gives the business confidence in its numbers. We bring together strong financial control, clear reporting and thoughtful commercial insight so colleagues can make good decisions as Vintage.com grows.

It is a collaborative, hands‑on team that works closely with leaders and colleagues across the business, as well as external partners. We care about accuracy, practical solutions and making finance easier for others to understand and use.

The Finance Manager leads the day-to-day finance operation and turns accurate financial information into useful insight. You’ll develop a small team, oversee the core accounting cycle and make sure our controls, systems and reporting remain dependable as the business grows across the UK and Europe.

This is a hands‑on leadership role. You’ll be close enough to the detail to spot issues early, while giving senior leaders the analysis, forecasts and context they need to make confident decisions. You’ll also help us get more from Xero and continually improve how the team works.

  • Monthly management accounts are accurate, insightful and delivered to agreed deadlines.
  • The general ledger, balance sheet and supporting reconciliations are complete, controlled and audit-ready.
  • Accounts payable, accounts receivable, VAT and payroll coordination run smoothly and issues are resolved promptly.
  • Finance colleagues receive clear direction, useful coaching and opportunities to build their capability.
  • Leaders receive practical analysis and forecasts that help them understand performance and make decisions.
  • Finance systems and processes become simpler, more efficient and less reliant on manual work.
What You’ll Do
  • Lead, support and develop a small Finance team across accounts payable, accounts receivable and reporting.
  • Set clear priorities, review work and create a supportive environment where people can build confidence and capability.
  • Keep work organised across reporting cycles, operational deadlines and changing business priorities.
  • Prepare and review monthly management accounts, including profit and loss, balance sheet reporting and variance analysis.
  • Maintain oversight of the general ledger, balance‑sheet reconciliations and the quality of supporting records.
  • Oversee accounts payable and accounts receivable, stepping into the detail when the team needs support.
  • Maintain strong, proportionate financial controls and make sure agreed processes are followed consistently.
  • Coordinate year-end activity and work closely with external auditors to provide clear, complete information.
  • Ensure VAT returns and other UK finance requirements are accurate and submitted on time.
  • Coordinate with our outsourced payroll provider so payroll information is complete, accurate and delivered to schedule.
  • Build effective relationships with auditors, payroll providers and other finance partners, following queries through to resolution.
  • Provide senior leaders and non‑finance colleagues with clear financial analysis, forecasts and commercial insight.
  • Explain financial performance in plain language, highlighting risks, opportunities and actions.
  • Improve how we use Xero, helping the team embed consistent ways of working and make confident use of the system.
  • Identify and deliver process improvements that reduce manual effort, strengthen controls and make information easier to access.
  • Support the financial needs of a growing international business, adapting processes as our scale and complexity change.
What You’ll Bring
  • At least three years’ experience producing management accounts, including profit and loss and balance-sheet reporting.
  • Part-qualified or recently qualified in CIMA, ACCA or ACA, or equivalent practical experience.
  • Experience managing, coaching or mentoring finance colleagues.
  • Strong working knowledge of Xero.
  • A sound understanding of financial controls, reconciliations and UK VAT requirements.
  • The confidence to interpret financial information and communicate it clearly to non‑finance stakeholders.
  • A highly organised, accurate approach, with the ability to manage competing priorities and meet deadlines.
  • A proactive, resilient style and the confidence to take ownership while working collaboratively.
  • Experience working in a fast‑growing or scaling business.
  • Exposure to finance operations across more than one country, particularly the UK and Europe.
  • Experience improving finance systems, controls or processes.
  • Experience supporting international growth or increasing operational complexity.
  • Put customers first by recognising that accurate, well‑controlled finance helps every team deliver a dependable service.
  • Work as one team by sharing context, supporting colleagues and making finance approachable.
  • Take ownership of the detail, follow commitments through and address issues early.
  • Stay curious about performance and look for practical ways to make our systems and processes better.
  • Keep others in the know with clear reporting, honest conversations and timely updates.
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