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Regional Finance Manager

Quadriga

Theale

On-site

GBP 40,000 - 80,000

Full time

30+ days ago

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Job summary

An established industry player is seeking a Regional Finance Manager to oversee financial reporting and transaction processing across multiple countries. This contract role offers an exciting opportunity to ensure compliance with legal and fiduciary requirements while managing key financial activities such as budgeting, cash forecasting, and business partnering. The ideal candidate will possess strong accounting expertise, excellent communication skills, and a keen attention to detail. Join a forward-thinking company that values innovation and offers a dynamic work environment where your contributions will drive significant impact.

Qualifications

  • Experience in managing the GL is essential.
  • Part qualified to finalist accounting qualifications or equivalent.

Responsibilities

  • Manage GL and balance sheet control accounts and ensure compliance.
  • Prepare monthly commentary and budgets for review.

Skills

Accounting
Financial Reporting
Budgeting
Cash Forecasting
Analytical Skills
Communication Skills
Interpersonal Skills
Attention to Detail
Project Accounting
MS Excel

Education

University Degree
Part Qualified Accounting Qualifications

Tools

Finance Packages
MS Excel

Job description

Company Description

Quadriga is a leading international provider of guest technology managed services that enhances engagement, generates additional revenue, and fuels value for hotels through a continued focus on the global customer experience. Quadriga is part of the Exceptional Innovation (EI) family of companies and affiliates which benefits from the technology innovation driven by EI. The Group is constantly at the forefront of hospitality guest technology with its IQx platform and suite of integrated solutions for hoteliers.

Job Description

JOB DESCRIPTION

Title:

Regional Finance Manager - FTC day rate

Reports to:

Group Financial Director

Based:

Theale

Main purpose:

To efficiently and effectively deliver the company's financial reporting and transaction processing requirements for a number of countries, and to ensure compliance with all relevant legal and fiduciary requirements, in line with the Group's financial objectives.

Key responsibilities and accountabilities:

  • Accounting: GL and Balance sheet control accounts - manage all aspects of both the controls, input and reporting requirements particularly for the following activities:
    • Deferred and accrued Income controls
    • Inter-Company balance sheet controls
    • Payroll Controls
    • All Balance sheet reconciliations
    • Stock Accounts - (work in progress, Inventory and Stock provision)
    • Rental and fixed Assets
    • Provide all audit information while liaising with auditors as required for a clean audit
  • Reporting: preparation and production of the monthly commentary for review, including providing appropriate and relevant analysis.
  • Budgets: preparation & production of budgets for management review, so contributing to medium to long term business planning process.
  • Forecasts: preparation and production of quarterly re-forecasting so contributing to short to medium term business planning process.
  • Cash forecasting: production and submission of monthly cash forecast, to include supporting commentary on any material movements or changes from previous submissions for short to medium term cash planning.
  • Business partnering: first point of contact on all finance aspects for the business departments and the management team.
  • VAT: produce monthly reporting to support VAT submissions for UK and Ireland. This will include checking for accuracy and liaising with the appropriate teams to resolve any issues identified.
  • Line management - manage and provide support to the team as required.
  • Any other duties as assigned
Competency / Performance Drivers

Technical / Professional Expertise

Bilingual an advantage

Excellent communication skills

Strong interpersonal skills

Attention to detail and accuracy

Analytical

Self managing and motivating

Strong supervisory skills (support, guidance, mentoring)

Ability to work to tight deadlines

Flexible / adaptable

Numerate and logical

University degree preferable

Part qualified to finalist accounting qualifications or equivalent

Experience in managing the GL is essential

Computer literate especially with MS Excel and finance packages

Experience of working with all management levels.

Project accounting experience is an advantage

Qualifications

Additional Information

this is a contract role on a day rate

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