Finance Manager - Hybrid
This role oversees accurate financial reporting, forecasting and insight that supports a busy customer-focused operation. You''ll partner with senior leaders, manage key financial processes and ensure strong governance and compliance across the business. Client Details Our client is a major UK service-led organisation operating at scale, supporting millions of customers each year across multiple business units. With a modern Sheffield HQ and a strong emphasis on continuous improvement, they offer a collaborative culture, excellent internal networks and career pathways across finance and operations. Description Produce accurate monthly management accounts, budgets and group-level reportingProvide analysis, insight and commentary to support business decisionsManage balance sheet integrity and associated reconciliationsOwn and maintain financial governance processes and key documentationMonitor cashflow and ensure required funds are availableOversee financial relationships across AP, AR, Banking and TreasurySupport tax reporting (e.g. PSA, P11d) and liaise with Group TaxEnsure compliance across procurement, budgeting and regulatory requirementsPrepare performance reports, customer trend analysis and business planning outputsWork closely with stakeholders across operations, insight, IT and senior management Profile A qualified (or strong part-qualified) accountant with post-qualification experienceCommercially minded with excellent analytical and problem-solving skillsConfident
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