
Finance Manager
- Sheffield
- Permanent
- Full-time
- Produce monthly management accounts with associated reconciliations
- Drive improvements in working capital and cashflow management, forecasting and kpi reporting.
- Provide information and work collaboratively with the project and commercial teams.
- Liaise with external auditors, banking and tax agents.
- Contribute to the annual budgeting, planning and forecasting process.
- Calculate and submit quarterly VAT and RCT disclosures to the Inland Revenue.
- Qualified CIMA/ACA/ACCA with experience in ideally a SME environment
- Be able to review, enhance and develop business procedures and orderly approach to processing.
- Proficient in Microsoft Office applications with PowerBi, databases, Teams, and accounting packages
- Strong organisational, negotiation, communication, collaborative and analytical skills with a keen eye for detail and drive for continual improvement.