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Group Finance Manager

Global Highland Limited

Cambridge

On-site

GBP 60,000 - 80,000

Full time

Today
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Job summary

A prominent finance organization is seeking a Group Finance Manager to support finance functions, including monthly consolidation of accounts and treasury development. The ideal candidate should have accounts experience and excellent communication skills. Responsibilities include preparing management accounts, supporting budget consolidation, and maintaining banking arrangements. Proficiency in accounting software and Microsoft Excel is essential. Join a dynamic team in Cambridge and contribute to financial success.

Qualifications

  • Experience with accounts in a financial role.
  • Strong communication and interpersonal skills.
  • Proficiency in Microsoft Office, particularly Excel.

Responsibilities

  • Prepare monthly group consolidation and management accounts.
  • Develop the treasury function of the group.
  • Support budget preparation and consolidation.
  • Maintain relationships with commercial and financial teams.
  • Administer group banking arrangements.

Skills

Accounts experience
Positive attitude
Excellent communication skills
Microsoft Excel proficiency
Excellent time management

Education

Degree in Accounts & Finance

Tools

Accounting software
Job description

The Group Finance Manager will support the group finance function by completing finance assignments to assist in producing group financial reports for the Board of Directors and the consolidation, budget consolidation and cash management.

They will also assist in the integration of new business units as they join the group.

The role will involve learning all aspects of the group finance function and will support the overall delivery of the business.

Responsibilities
  • Monthly group consolidation and management accounts for group companies with reporting packs.
  • Group cash consolidate the cashflow statements and provide guidance on requirements.
  • Develop the treasury function within the group.
  • Support budget preparation within the group and consolidation.
  • Financial analysis and associated liaison with businesses
  • Credit control and developing good relationships with business units and clients
  • Maintain close working relationships with the commercial and financial teams
  • Administer group banking arrangements
  • Preparing and entering month end journals
  • Intercompany recharges and full reconciliation within the group
  • Balance sheet reconciliations for various companies
  • Draft consolidated reports for the bank to support group lending
  • Working with the integration team to support the finance functions of any acquisitions
  • Group audit contact, and prepare year end accounts information
  • Work with finance leads to ensure finance policy is consistent throughout the group
  • Any other duties as required within the finance function
Experience

Mandatory

  • Accounts experience
  • Positive attitude and inquisitive nature
  • Excellent communication / people skills
  • Microsoft office (incl Excel) proficient
  • Excellent time management skills

Preferred

  • Degree in Accounts & Finance and/or Accounts qualification
  • Experience with accounting software
  • Strong analytical skills
  • Good organisational skills

If you are interested in finding out more and wish to have a confidential conversation please contact Lyndsey.

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