Finance Manager at Forward Waste Management Limited
Cardiff CF24 5EE, , United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

29 Nov, 25

Salary

50000.0

Posted On

29 Aug, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Sage

Industry

Financial Services

Description

Job Title: Finance Manager
Location: Cardiff
Hours: 42.5 hours per week, Monday – Friday, 8:30am – 5:00pm
Salary: £45-£50 k

SKILLS AND EXPERIENCE:

  • Strong technical accounting knowledge
  • Fully Qualified Accountant (ACCA, CIMA, ACA), with at least 3 years PQE
  • Experience in preparing budgets within a multi-disciplined conglomerate SME business
  • Ability to plan and manage the workload of the team
  • Keen eye for detail
  • Strong Excel skills and the ability to model opportunities
  • Process driven
  • Knowledge and demonstrable experience of utilizing Sage 200 is essential
Responsibilities

JOB PURPOSE:

Ensuring the day-to-day operations of finance run smoothly, to ensure the results and balance sheet presented in the monthly management accounts represent a true and fair view of the Company position.

PRINCIPAL ACCOUNTABILITIES:

  • Maintain up to date accounting policies and procedures for the company to ensure accurate management information and a clean audit report.
  • Particular emphasis on ensuring a strong financial control framework exists for monitoring and mitigating risks.
  • Review of the monthly management accounts including a comparison against budget and providing commentary and variance analysis.
  • Prepare the monthly board pack, including profit & loss, balance sheet and cash flow statements.
  • Preparation and review of the balance sheet reconciliation file and ensure supporting information is available for every balance.
  • Posting of any journals required to the Sage system as required to produce the above mentioned management accounts.
  • Review of all divisional management reporting, offering suggestions for improvements and cost savings
  • Production of weekly cash flow forecasts
  • Responsible for supplier payment approvals and cash collection of trade debtor balances
  • Actively look for working capital management opportunities in line with working capital targets
  • Preparation of quarterly VAT returns and submission to HMRC
  • Manage, develop and lead the Finance team (including supervision and development of 2 direct reports)
  • Preparation of year-end financial statements in accordance with FRS102
  • Preparation of audit information files and key contact for the auditors and tax advisors
  • Assisting with the annual budget process and half yearly reforecasting
  • Managing a sales ledger and purchase ledger function
  • Optimize full potential of Sage 200 accounting package in conjunction with bespoke waste management software (WEIGHSOFT).
Loading...