Finance Manager at Vibe Recruit Ltd
Swansea SA5 4NP, , United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

09 Aug, 25

Salary

0.0

Posted On

10 May, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

BONUS SCHEME (AFTER PROBATION) AND ADDITIONAL COMPANY PERKS

Are you looking to join a small, friendly team in a company where you are valued and respected?
My client, who operates in an exciting industry who have a clear growth plan re looking for a Part-Time Finance Manager to join them on a permanent basis.
As a Finance Manager youwill manage all aspects of my clients’ financial operations. You’ll play a key role in ensuring the financial health of the business, from managing accounts to liaising with external accountants.
Whilst the current set up is well established and organised, my client understands that there’s always room for development and improvement on processes, so your input will always be valid if you would like to make changes.
The hours of the role can be negotiated to suit the candidate.

As a Finance Manager you will be responsible for:

  • Day to day management of accounts
  • Accounts payable/receivable
  • Ledger entry
  • Bank reconciliation
  • Analysing data
  • Compliance management and HMRC reporting
  • Banking and Cash Flow management
  • Management Accounting
  • VAT returns
  • Assisting with Corporation Tax filings to ensure all statutory requirements are met
  • Financial Accounting and Reporting
  • Experience and expertise in preparing monthly financial statements, including P&L, balance sheets, cash flow statements, variance analysis and financial KPI analysis statements
  • Budgeting and forecasting, developing financial plans and forecasts
Responsibilities
  • Day to day management of accounts
  • Accounts payable/receivable
  • Ledger entry
  • Bank reconciliation
  • Analysing data
  • Compliance management and HMRC reporting
  • Banking and Cash Flow management
  • Management Accounting
  • VAT returns
  • Assisting with Corporation Tax filings to ensure all statutory requirements are met
  • Financial Accounting and Reporting
  • Experience and expertise in preparing monthly financial statements, including P&L, balance sheets, cash flow statements, variance analysis and financial KPI analysis statements
  • Budgeting and forecasting, developing financial plans and forecast
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