Finance Manager - Sheffield
- Recruiter
- Elevation Recruitment Ltd
- Location
- England, South Yorkshire, Sheffield
- Salary
- £35000 - £38900 per annum + 37 days holiday plus stats, 17% pension
- Posted
- 10 Jun 2021
- Closes
- 08 Jul 2021
- Ref
- SFST-34827
- Contact
- Steve Bruce
- Job Title
- Finance Manager
- Category
- Education / Training
- Contract Type
- Permanent
- Hours
- Full Time
Elevation Recruitment Group are delighted to be partnering with a leading Sheffield education provider to recruit a Finance Manager.
In this role you will be responsible for managing the Accounts Payable, Accounts Receivable and cash functions. Alongside this you will also be responsible for cashflow reporting, balance sheet reporting and managing the year-end financial statements and external audit process.
Key Responsibilities will include:
- Managing a team of 6 across Accounts Payable and Accounts Receivable / Cash teams
- Prepare the monthly cashflow & cashflow forecast and analysing variances to budget
- Prepare monthly balance sheet and balance sheet forecasts
- Ensure Financial controls are implemented and maintained
- Support the Year-end external audit
- Review Accounts Payable BACS submissions and payments made using online banking software
- Act as first point of contact for the bank
- Provision of information to external tax advisors for the purpose of Corporation Tax
- Responsible for all aspects of VAT, including quarterly returns
- Maintain effective communication with colleagues across the organisation
You will be working for a supportive and collaborative organisation where the welfare of employees is paramount.
Alongside a rewarding and challenging role you will also receive excellent benefits which include:
- 37 days holiday plus bank holiday
- 17% employer pension contribution
- The opportunity to combine home and office working
- Flexible working hours (core hours 10am - 4pm)
- Free parking
If you are a qualified Accountant who is ready for a new challenge and would like to be considered for this role, then please apply today or contact Steve Bruce for a confidential discussion.
In this role you will be responsible for managing the Accounts Payable, Accounts Receivable and cash functions. Alongside this you will also be responsible for cashflow reporting, balance sheet reporting and managing the year-end financial statements and external audit process.
Key Responsibilities will include:
- Managing a team of 6 across Accounts Payable and Accounts Receivable / Cash teams
- Prepare the monthly cashflow & cashflow forecast and analysing variances to budget
- Prepare monthly balance sheet and balance sheet forecasts
- Ensure Financial controls are implemented and maintained
- Support the Year-end external audit
- Review Accounts Payable BACS submissions and payments made using online banking software
- Act as first point of contact for the bank
- Provision of information to external tax advisors for the purpose of Corporation Tax
- Responsible for all aspects of VAT, including quarterly returns
- Maintain effective communication with colleagues across the organisation
You will be working for a supportive and collaborative organisation where the welfare of employees is paramount.
Alongside a rewarding and challenging role you will also receive excellent benefits which include:
- 37 days holiday plus bank holiday
- 17% employer pension contribution
- The opportunity to combine home and office working
- Flexible working hours (core hours 10am - 4pm)
- Free parking
If you are a qualified Accountant who is ready for a new challenge and would like to be considered for this role, then please apply today or contact Steve Bruce for a confidential discussion.