Group Financial Accountant - Sheffield at Elevation Recruitment
Sheffield, England, United Kingdom -
Full Time


Start Date

Immediate

Expiry Date

15 Sep, 25

Salary

50000.0

Posted On

16 Jun, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Financial Planning, Preparation, Ownership, Swaps, Cash Reporting, It, Processing, Reporting Requirements, Control Environment, Continuous Improvement

Industry

Financial Services

Description

Elevation Senior Finance are delighted to be recruiting for a Global manufacturing business in Sheffield as they look to bring a Group Financial Accountant into the team.

The company offers excellent benefits:

  • Salary of up to c£50,000
  • Generous bonus scheme
  • 25 days holiday + Stats
  • Company Pension

The purpose of the role is support the Group Financial Reporting Manager to ensure the group meets all external and internal reporting requirements. It will be a varied role with duties to include: -

  • Monthly management accounts preparation
  • Prepare the group consolidated management accounts
  • Assist with preparation of the Board pack
  • Monthly royalty and management fee invoicing
  • Ownership of the Group weekly cashflow forecasting process
  • Oversee daily cash reporting
  • Assess Group cash requirements - availability review, facility drawdowns, funds distributions and supplier payment prioritisation
  • Plan, track, pay and account for all FX trades and swaps
  • Cashflow forecasting (inc consol) and reporting externally
  • Bank account management and processing
  • Ensure an adequate internal control environment exists and that the Group meets all financial compliance requirements
  • Support the implementation of the Taxation strategy
  • Support the CFO in Group financial planning and compliance and ad-hoc projects relating to continuous improvement
  • Support the CFO in managing external financial relationships (auditors, banks, credit insurance etc.)

    To be successful for this role you will have the following skills and attributes: -

  • Qualified ACA/ ACCA

  • Would ideally suit a first time mover from practice (Top 10)
  • Strong technical skill and audit background (IFRS, UKGAAP)
  • Desire to grow and succeed in an expanding Global Manufacturing Group
  • Strong in character and comfortable in a corporate setting

If you are interested in the role, please apply today!

Responsibilities

The purpose of the role is support the Group Financial Reporting Manager to ensure the group meets all external and internal reporting requirements. It will be a varied role with duties to include: -

  • Monthly management accounts preparation
  • Prepare the group consolidated management accounts
  • Assist with preparation of the Board pack
  • Monthly royalty and management fee invoicing
  • Ownership of the Group weekly cashflow forecasting process
  • Oversee daily cash reporting
  • Assess Group cash requirements - availability review, facility drawdowns, funds distributions and supplier payment prioritisation
  • Plan, track, pay and account for all FX trades and swaps
  • Cashflow forecasting (inc consol) and reporting externally
  • Bank account management and processing
  • Ensure an adequate internal control environment exists and that the Group meets all financial compliance requirements
  • Support the implementation of the Taxation strategy
  • Support the CFO in Group financial planning and compliance and ad-hoc projects relating to continuous improvement
  • Support the CFO in managing external financial relationships (auditors, banks, credit insurance etc.

To be successful for this role you will have the following skills and attributes: -

  • Qualified ACA/ ACCA
  • Would ideally suit a first time mover from practice (Top 10)
  • Strong technical skill and audit background (IFRS, UKGAAP)
  • Desire to grow and succeed in an expanding Global Manufacturing Group
  • Strong in character and comfortable in a corporate settin
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