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Senior Manager - Finance & Reporting

Omega Exim Ltd.

United Kingdom

On-site

GBP 70,000 - 90,000

Full time

Today
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Job summary

A leading financial management company in the United Kingdom is looking for a dynamic Senior Manager - Finance & Reporting. The ideal candidate will oversee financial management, reporting, compliance, and analysis functions, ensuring accurate reporting and alignment with business strategies. This role requires at least 5 years of experience in finance management and a strong understanding of accounting principles.

Qualifications

  • Minimum of 5 years of experience in financial management and reporting.
  • Strong understanding of accounting principles and statutory compliance.
  • Excellent analytical and financial modeling skills.

Responsibilities

  • Oversee financial accounting and reporting to ensure accuracy.
  • Manage taxation and compliance with relevant regulations.
  • Prepare management accounting reports to facilitate decision-making.
  • Coordinate import processes and trade finance.

Skills

Financial management
Financial reporting
Tax compliance
Management accounting
Stakeholder engagement
Job description

Omega Exim Limited is seeking a dynamic and experienced Senior Manager - Finance & Reporting to oversee our financial management, reporting, compliance, and analysis functions. This leadership role ensures accurate reporting, efficient fund management, and alignment with business strategies.

  1. Financial Accounting & Reporting
    • Prepare and maintain accurate financial statements (Balance Sheet, P&L, Cash Flow).
    • Ensure proper bookkeeping of all business transactions.
    • Perform bank reconciliations on a regular basis.
    • Prepare and submit management reports (monthly, quarterly, yearly).
  2. Taxation & Compliance
    • Handle withholding tax returns and ensure compliance with tax regulations.
    • Maintain documentation for Income Tax, VAT, and other statutory requirements.
  3. Management Accounting & Costing
    • Prepare management accounting reports to support decision-making.
    • Conduct pre-costing and product costing analysis.
    • Monitor operational expenses vs budget.
  4. Treasury & Financing
    • Monitor bank financing facilities and repayment schedules.
    • Follow up on LTR loans and bank liabilities.
    • Ensure efficient utilization of working capital and minimize interest costs.
  5. Import & Trade Finance
    • Follow up on import process, LC documentation, and related banking matters.
    • Coordinate with banks and suppliers for smooth import financing.
  6. Business & Stakeholder Engagement
    • Work closely with management and stakeholders to align financial strategies.
    • Support business meetings with accurate financial insights and updates.
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