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Group Finance Manager

Venari Recruitment Limited

United Kingdom

Hybrid

GBP 60,000 - 90,000

Full time

2 days ago
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Job summary

An established industry player is seeking a Group Finance Manager to join their team in Stirling. This role offers a unique opportunity to work in a hybrid setting, balancing remote and on-site responsibilities. The successful candidate will be integral in managing monthly financial processes, collaborating with senior finance teams, and ensuring compliance with tax legislation. This position promises valuable experience across various business areas, making it ideal for a finance professional looking to advance their career in a dynamic environment.

Qualifications

  • Qualified in ICAS, ACCA, or CIMA.
  • Experience in financial reporting and cash flow management.

Responsibilities

  • Manage monthly financial reporting and cash flow.
  • Ensure tax compliance and robust internal financial processes.
  • Participate in annual external audits and prepare statutory accounts.

Skills

Financial Reporting
Cash Flow Management
Tax Compliance
Budget Preparation
Ad Hoc Analysis

Education

ICAS
ACCA
CIMA

Job description

Venari Finance is pleased to support our client in Stirling with the recruitment of a Group Finance Manager. The role offers a 3/2 hybrid working policy.

The Group Finance Manager will assist the Group Financial Controller in managing the monthly financial processes and will gain valuable experience across various business areas, including financial reporting and processes. The role involves close collaboration with the senior finance team and interaction with external auditors, tax consultants, and funders.

Role Overview:
  1. Responsibility for monthly financial reporting
  2. Participation in the annual external audit and preparation of statutory accounts
  3. Managing cash flow, including consolidation and reporting of weekly forecasts
  4. Ensuring robust internal financial processes and controls across group companies
  5. Supporting group budget preparation
  6. Managing group treasury
  7. Overseeing day-to-day transactional activities of the finance function
  8. Ensuring tax compliance with legislation such as Corporate Tax, VAT, and P11D, PSA
  9. Managing insurance, rebate, and recharge finances
  10. Providing modeling and commercial support
  11. Conducting ad hoc analysis as needed
Candidate Background:
  • Qualified in ICAS, ACCA, or CIMA
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