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Financial Reporting Manager

British Business Bank plc

South Yorkshire

Hybrid

GBP 35,000 - 45,000

Full time

5 days ago
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Job summary

A national financial institution in Sheffield is looking for a Financial Reporting Manager to ensure accurate financial records and support annual accounts production. The successful candidate will prepare statutory accounts, support IFRS assessments, and enhance internal controls. A professional accounting qualification and strong IFRS knowledge are essential. Enjoy benefits like flexible working, a generous pension contribution, and 30 days of annual leave. Hybrid working with 2 days in the office is expected.

Benefits

30 days annual leave plus bank holidays
15% employer pension contribution
Flexible working
Cycle to work scheme
Healthcare cash plan
Paid voluntary days

Qualifications

  • Professional qualification such as ACA or ACCA is required.
  • Strong technical accounting expertise and knowledge of IFRS are essential.
  • Experience in preparing statutory and consolidated financial statements is crucial.

Responsibilities

  • Prepare statutory accounts for BBB Group subsidiaries.
  • Support IFRS 9 classification assessments and reconcile outputs.
  • Update accounting policies and strengthen internal controls.

Skills

Strong technical accounting background
Professional qualification (ACA/ACCA or equivalent)
Experience preparing consolidated financial statements
Job description
Financial Reporting Manager

Application Deadline: 6 January 2026

Department: Finance

Employment Type: Permanent

Location: Sheffield

Compensation: £35,000 - £45,000 / year

Description

Location: Sheffield / Hybrid Working

Expectation that you will attend an office 2 days per week

Contract: Permanent

Hours: Full time 37.5 hours per week/flexible days and/or hours (Mon-Fri)

Salary: Up to £45,000 depending on experience

The Role

Working within our Financial Control & Governance (FC&G) team, this role ensures that the organisation’s investment assets, liabilities, income and expenditure are correctly recorded and accounted for in the financial ledgers and supports the production of the Bank’s statutory annual accounts

Key responsibilities include:

  • Preparing statutory accounts for BBB Group subsidiaries
  • Supporting IFRS 9 classification assessments and reconciliation of Expected Credit Loss outputs
  • Ensuring accounting policies are documented and updated
  • Identifying and delivering improvements to strengthen internal controls and ways of working
  • Supporting audit management and tax matters across the Group

Key skills required:

  • Strong technical accounting background and up-to-date knowledge of IFRS
  • Professional qualification (ACA/ACCA or equivalent)
  • Experience preparing consolidated financial statements

If you enjoy improving processes, influencing stakeholders, and working collaboratively across Finance, this role offers a great opportunity to add value.

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Key Benefits

Click here for a complete list of benefits

  • 30 days annual leave plus bank holidays, opportunity to buy and sell up to 5 days holiday
  • 15% employer pension contribution
  • Flexible working
  • Cycle to work scheme, healthcare cash plan, Group Income Protection and life assurance
  • Paid voluntary days, maternity, paternity, adoption, and shared parental leave
  • Benefits designed to suit your lifestyle - from discounts on retail and dining, to health and wellbeing, travel, and technology...and plenty more
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