Finance Manager at Nicoll Curtin
London, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

10 Mar, 26

Salary

0.0

Posted On

10 Dec, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Team Management, Financial Operations, Month-End Close, Reporting, Cash Management, Treasury, Payroll, Audit, Tax Compliance, Risk Management, Process Improvement, Communication, Excel, Accounting, Stakeholder Management, International Accounting

Industry

Staffing and Recruiting

Description
Nicoll Curtin is looking for a Finance Manager in our London office. About us Nicoll Curtin is a global company with 26 years of experience in connecting outstanding talent with industry-leading companies within verticals of technology and change. We operate across the UK, Singapore, Switzerland, Ireland, Serbia, Hong Kong, the Philippines, and the USA. We’re hiring a Finance Manager to take full ownership of finance operations for our Europe and USA entities and to lead cash and treasury across the group. You’ll work closely with the CFO and senior leaders, manage month-end, payroll, AP/AR, audit and compliance, and produce accurate reporting and analysis that supports commercial decision-making. You’ll also strengthen controls, drive process improvements, and identify risks early. What you’ll do Team Management and Development Support and mentor the finance team, ensuring tasks are clearly owned and delivered Develop capability within the team through training, guidance, and structured ways of working Build a consistent standard across Europe and the USA so that month-end, AP/AR, and payroll run reliably Provide clear communication, expectations, and feedback Financial Operations (Europe and USA) Oversee AP, including contractor payments, supplier invoices, and staff expenses Oversee AR, including permanent and contract invoicing, credit control, and debtor follow-up Resolve operational queries quickly and maintain strong relationships with internal teams and external partners Month-End, Reporting and Analysis Lead the month-end close for Europe and the USA Prepare accurate management accounts with clear commentary Produce reporting packs and analysis that help leadership understand performance Review balance sheet reconciliations and investigate variances Provide forward-looking insight to support planning Cash and Treasury (Group Wide) Monitor daily cash positions across all group bank accounts Maintain short-term and long-term cash forecasts Coordinate intercompany transfers and ensure correct approvals Track inflows and outflows and escalate liquidity issues early Support FX planning and maintain treasury controls Payroll (Europe and USA) Own the payroll process end-to-end Prepare payroll inputs, ensure approval controls are followed, and reconcile outputs Manage staff expenses and work with external payroll providers Audit, Tax, and Compliance Lead year-end audits for Europe and the USA Support the preparation of statutory accounts Manage VAT, sales tax, Intrastat, and other compliance requirements Ensure all documentation and controls are kept up to date Risk, Controls, and Process Improvement Identify financial risks early and provide clear recommendations Strengthen financial controls and ensure consistent application across entities Document and standardise processes to reduce errors and improve efficiency Remove manual duplication and support automation Build an analysis that supports better forward planning and decision-making What you bring Experience managing or mentoring a finance team Strong VAT and international accounting knowledge Advanced Excel and solid systems capability Confident communicator with senior stakeholders ACA, ACCA, or CIMA qualified, or a finalist with strong multi-entity experience QBE considered only with proven ownership of the month-end, audit, and compliance Strong technical accounting background with audit exposure High attention to detail and accuracy under pressure Nice to have Recruitment industry experience Experience with Navision Dynamics / Business Central Experience managing finance across multiple regions What we offer 26 days of annual leave Flexible working arrangements – 2 days in the office and 3 days remotely Private health insurance after the probation period A lively office with regular social events Corporate gym membership rates Cycle-to-work scheme Interest-free season ticket loan (post-probation) Interest-free rent deposit loan (post-probation) Refer a Friend scheme Company pension scheme Access to mental health support Eye care vouchers We are committed to fostering an inclusive environment and promoting equality of opportunity for all candidates with the right mix of talent, skills, and potential. We welcome applications from diverse backgrounds and evaluate candidates based solely on their individual merits.
Responsibilities
The Finance Manager will oversee finance operations for Europe and USA entities, manage month-end processes, payroll, accounts payable/receivable, and ensure compliance and accurate reporting. They will also strengthen controls, drive process improvements, and identify financial risks early.
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