Venari Finance are delighted to be supporting our client in Stirling with the recruitment of their newly created Group Finance Manager role. Our client operates a 3/2 hybrid working policy.
The Group Finance Manager role will support the Group Financial Controller in managing the monthly financial processes of the group. This role will provide valuable working experience across the wider business, financial reporting and business processes. The Group Finance Manager will work closely with the senior finance team and liaise with external audit, tax consultants and external funders.
Role Overview:
- Responsibility for monthly financial reporting
- A key figure in the group annual external audit and preparation of statutory accounts.
- Cashflow Management including consolidation and reporting of Group’s weekly cash flow forecasting.
- Ensure robust internal financial processes and a strong control framework across the group companies.
- Support the preparation of the Group budget.
- Group treasury management.
- Manage the day-to-day transactional activity of the group finance function.
- Tax – Ensure compliance with all tax legislation including Corporate Tax, VAT and P11D, PSA etc.
- Insurance, rebate and recharge financial management.
- Modelling and commercial support
- Ad hoc analysis as required.
Candidate Background:
- Qualified- ICAS/ACCA/CIMA