Finance Manager/Accountant
- Location
- England, Leicestershire, Leicester
- Salary
- £30000 - £40000 per annum
- Posted
- 25 May 2021
- Closes
- 22 Jun 2021
- Ref
- 11863
- Contact
- Leicestershire Jobs
- Job Title
- Accountant
- Category
- Accountancy Practice
- Contract Type
- Permanent
- Hours
- Full Time
Finance Manager/Accountant. Leicester
Our client is a highly successful firm of Chartered Accountants.
The role is to provide essential Financial Management and Reporting to the Directors and responsible for managing a small team.
Key responsibilities include the following:
*Preparation of monthly management accounts, KPIs and forecasts
*Preparing timely cash flow forecasts and proactively managing bank accounts.
*Preparation of year end statutory accounts.
*Preparation of monthly payroll.
*Ensuring all statutory payments are made to HMRC.
*Overseeing the processing of purchase and sale ledgers, bank reconciliations, credit control, direct debits, invoicing and banking
*Contribution to the annual budget and strategic plan.
*Completion of the annual PI insurance declarations
*The accurate submission of VAT, PAYE and Pension declarations
Taking the lead on finance systems and process controls to identify efficiencies and upgrade as required.
Paul Mitchell Associates is acting as an Employment Agency in relation to this vacancy.
By applying to this vacancy you are consenting to Paul Mitchell Associates contacting you and processing your data in line with our Privacy Policy under GDPR (General Data Protection Regulations).
If you do not consent to Paul Mitchell Associates contacting you and processing your data in line with GDPR please DO NOT apply.
For further information relating to our Privacy Policy please visit our website.
Our client is a highly successful firm of Chartered Accountants.
The role is to provide essential Financial Management and Reporting to the Directors and responsible for managing a small team.
Key responsibilities include the following:
*Preparation of monthly management accounts, KPIs and forecasts
*Preparing timely cash flow forecasts and proactively managing bank accounts.
*Preparation of year end statutory accounts.
*Preparation of monthly payroll.
*Ensuring all statutory payments are made to HMRC.
*Overseeing the processing of purchase and sale ledgers, bank reconciliations, credit control, direct debits, invoicing and banking
*Contribution to the annual budget and strategic plan.
*Completion of the annual PI insurance declarations
*The accurate submission of VAT, PAYE and Pension declarations
Taking the lead on finance systems and process controls to identify efficiencies and upgrade as required.
Paul Mitchell Associates is acting as an Employment Agency in relation to this vacancy.
By applying to this vacancy you are consenting to Paul Mitchell Associates contacting you and processing your data in line with our Privacy Policy under GDPR (General Data Protection Regulations).
If you do not consent to Paul Mitchell Associates contacting you and processing your data in line with GDPR please DO NOT apply.
For further information relating to our Privacy Policy please visit our website.