UK Finance Manager

Job Description

  • Permanent
  • Nationwide
  • £60,000 – £70,000 per annum USD / Year

Website CV-Library

The Finance Manager will lead the day-to-day finance function for Certania Aquico-UK Ltd and co-ordinate extensively with both Group Finance in Munich and the UK subsidiary Finance Leaders, taking ownership of financial operations, statutory reporting and treasury activities while providing support to integration & tax structuring projects as required. The role will work closely with the Interim CFO, with the expectation of developing into the primary UK finance lead over time.

Key Responsibilities

  • Manage the day-to-day treasury function across the UK group.
  • Prepare monthly management accounts and oversee month-end close.
  • Maintain bookkeeping activities and accurate financial records for Certania Aquico-UK Ltd.
  • Manage cash reporting, rolling cash flow forecasts and group cash pooling.
  • Support working capital management and identify cash optimisation opportunities.
  • Coordinate statutory reporting and Group consolidation submissions.
  • Lead the annual audit process and liaise with external auditors including preparation of UK Group Consolidated Accounts for UK parent company.
  • Support acquisition accounting and
  • Support development of financial close processes and accurate reporting for subsidiaries where needed.
  • Monitor subsidiary compliance and co-ordinate implementation of group wide financial control and policy matters as applicable to the UK team.
  • Provide budgeting, forecasting and commercial analysis as appropriate.
  • Relationships
  • Reports to: Interim UK CFO
  • Works closely with UK Finance Leads, Group Finance, external auditors and advisers.
  • Person Specification
  • Qualified accountant (ACA, ACCA or CIMA) or equivalent experience.
  • Experience in management accounts, statutory reporting and treasury.
  • Strong analytical, organisational and communication skills.
  • Comfortable working independently within a growing multi-entity environment.
  • Success Measures
  • Accurate and timely monthly reporting.
  • Effective management of treasury and cash reporting.
  • Successful delivery of the annual audit.
  • Reliable Group reporting and consolidation

To apply for this job please visit www.cv-library.co.uk.

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